Loading...

Country Risk Profiles

Filter by Source Types
Risks are listed below and organised under the relevant indicator. Click on the risk below for details on the specifc risk, mitigation options and the related legal requirements.
  • Specified Risks
  • Low Risks
  • Not Applicable
Legal rights to harvest
1.1 Land tenure and management rights
  • Forest areas are allocated for logging purposes without following the regulatory procedures / land use conflicts between forestry titles and other titles or rights
  • Concessions are allocated, despite not having been classified in the permanent forest domain
  • Forest areas are allocated for logging purposes without stakeholders’ consultation
  • Local communities who lose some of their rights over the areas allocated to private stakeholders (classification process or development projects) do not receive compensation
1.2 Concession licenses
  • The procedures for allocating concessions are not respected, and corrupt practices are used when allocating these titles
  • Change in the shares of a concession-holder without prior approval from the Minister in charge of forests
  • Lack of valid agreement following the expiry of the provisional agreement (the operator is not formally deemed unfit but is not either granted a definitive agreement)
  • There is no valid management agreement for community forests
1.3 Management and harvesting planning
  • The management provisions are not implemented or are only partially implemented
  • The preliminary studies required for the preparation of forest management plans or simplified management programmes are conducted and validated despite not meeting the established standard
  • Logging operations are conducted in absence of a harvesting inventory
  • Logging activities are conducted in the absence of a forest management plan or simplified management programme
  • The Ministry of Forests approves changes to the forest management plan without seeking the opinion of the forest management plan approval committee
  • Logging activities are conducted without a five-year management programme and an annual operation plan
  • Logging activities are conducted without an annual operations plan having been drawn up or validated
1.4 Harvesting permits
  • Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary
  • Permits/authorisations are issued or supporting documents are submitted prior to the permit/authorisation being issued in breach of the allocation procedure
  • Logging is conducted by an operator that is not in possession of a professional forestry accreditation
  • The title borders are not clearly delineated or the title is unlawfully relocated
  • No annual logging authorisation exits or logging operations are commenced before it is issued
  • The specifications for logging (or the development project if applicable) are not respected, with no consequences on the renewal of the existing permit or allocation of a new permit
  • Permits are used fraudulently
  • Permits are exploited beyond the regulatory period, particularly for vente de coupe permits that have a strict regulatory 3-year limit

1.5 Payment of royalties and harvesting fees
  • False guarantees are produced when submitting tender files
  • Felling tax is not paid within prescribed deadlines
1.6 Value-added taxes and other sales taxes
  • Transactions do not comply with trade regulations
1.7 Income and profit taxes
  • Fraudulent declarations are made regarding income and profits to reduce the amount of taxes payable

1.8 Timber harvesting regulations
  • Species that are banned under the provisions of management and operating documents are harvested
  • The number of trees and volumes authorised by the permit / authorisation is exceeded
  • Minimum diameters are not respected (DME and DMA)
  • Species are harvested outside of the defined areas
  • The applicable rules for marking stumps, logs and blocks are not complied with
  • The applicable rules for operating in forest areas regarding skidding, the construction of roads and infrastructure, and the creation of log yards, etc. are not complied with
  • Wood is irregularly abandoned
  • The information kept in the site documents does not comply with the regulations or is false
1.9 Protected sites and species
  • The areas and species to be protected are not identified during the management phase
  • Harvesting is conducted in protected areas
  • Felling operations are conducted in national parks or wildlife reserves
1.10 Environmental requirements
  • The rules for operating in forest areas are not respected, particularly for the protection of water bodies
  • No environmental impact assessments are carried out (EIA)
  • The environmental and social management plans arising from the EIAs are not implemented
1.11 Health and safety
  • Regulatory provisions related to health and safety (illness or accidents) are not implemented
  • Regulatory provisions related to occupational health are not implemented (available medical service, annual medical check-ups, available personal protective equipment, available first aid kits, decent accommodation in forest camps, etc.)
1.12 Legal employment
  • Employment contracts are not registered with the labour administration
  • The minimum wage or wage provided for by the collective bargaining agreement based on workers’ categories is not respected
  • The regulatory work-related provisions (rest days, leave, internal regulations, etc.) are not respected

1.13 Customary rights
  • The local communities are not informed or consulted before forest titles are exploited and/or before the zoning operations are completed during the forest management plan / programme preparation phase
  • The provisions of the specifications of the logging title relating to local communities (social obligations) are not complied with
  • Local communities do not receive the percentage of the Annual Forestry Royalty (RFA) they are owed, or the funds allocated to local communities are embezzled
  • Local communities do not participate in the management of the permanent forest domain (UFAs, council forests), and in particular that no functioning Forest-Farmer Committee is in place
  • The user rights in force are not respected and/or local communities are unlawfully banned from accessing the forest
  • The forest is managed and logged without any real implication of local communities
1.14 Free prior and informed consent
  • Not applicable
1.15 Indigenous/traditional peoples rights
  • Not applicable

1.16 Classification of species, quantities, qualities
  • False declarations are made on the wood transport documents facilitated by inadequate checks and a high risk of corruption by the officials in charge of the checks
1.17 Trade and transport
  • No waybill exists for wood harvested without a permit
  • Wood transport documents obtained illegally are used (non-authentic documents, documents not authenticated by the forest authorities, documents belonging to another logging operator, documents used for multiple truckloads, etc.)
1.18 Offshore trading and transfer pricing
  • Unlawful transfer pricing practices are used via subsidiaries based abroad in order to minimise profits made in Cameroon
1.19 Custom regulations
  • Wood is exported without a wood exporter accreditation/the specific export procedures applicable to wood are not respected (for instance wood is exported as other goods)
  • The procedures applicable to wood exports checks are not respected or the checks carried out are not effective
  • Fraudulent declarations are made regarding species and quantities on the export documents
  • Wood is exported unlawfully in logs (species banned from export in the form of logs or in excess of the established quotas)
  • Wood is exported that does not comply with the provisions relating to processing (maximum 15 cm thickness for square-edged timber)
1.20 CITES
  • CITES species are harvested without authorisation or in excess of the applicable harvesting/export quotas

1.23 Legal Registration of Business
  • Low risk concluded
1.24 Environmental Requirements for Processing
  • No environmental and social impact assessments are carried out (ESIA)
  • The environmental and social management plans arising from the ESIAs are not implemented
  • The standards for processing waste and sewage are not respected
  • There is no authorisation or declaration as classified hazardous establishment, depending on cases
1.26 Health and Safety in the Timber Processing Sector
  • Workers are not declared to the National Social Insurance Fund (CNPS), accidents at work are not declared and workers are not provided with the appropriate care in the event of an accident or illness
  • The regulatory provisions related to occupational health are not implemented in processing sector.
1.27 Legal Employment in The Timber Processing Sector
  • Employment contracts are not registered with the labour administration
  • The minimum wage or wage provided for by the collective bargaining agreement based on workers’ categories is not respected is not respected
  • The regulatory work-related provisions (rest days, leave, internal regulations, etc.) are not respected
1.1 Land tenure and management rights
Last updated on 2021-12-15 Forest areas are allocated for logging purposes without following the regulatory procedures / land use conflicts between forestry titles and other titles or rights Specified RISK
Forest areas are allocated for logging purposes without the stakeholders being consulted or without the regulatory procedures being taken into account (World Bank, 2010, Chatham House, 2015). Conflicts between forest titles and mining titles regarding use of the land are also often observed (WWF, 2021, Chatham House, 2015) notably due to poor consultation of the stakeholders;The geographical scope of a forest title is altered (UFA, vente de coupe... VIEW MORE
  • Forest areas are allocated for logging purposes without the stakeholders being consulted or without the regulatory procedures being taken into account (World Bank, 2010, Chatham House, 2015). Conflicts between forest titles and mining titles regarding use of the land are also often observed (WWF, 2021, Chatham House, 2015) notably due to poor consultation of the stakeholders;
  • The geographical scope of a forest title is altered (UFA, vente de coupe permit) without the stakeholders being consulted or the classification/planning procedures being respected (IM-FLEG/REM, 2009, Duhesme, C., 2014, SNOIE/FODER, 2016);
  • The access rights allocated by way of a vente de coupe permit are extended without the stakeholders being consulted (Expert consultation, 2019);
  • The vente de coupe planning notice is not released to the public, which is required to enable the local communities to exercise their right to erect a community forest in the areas in which they have user rights (CONAC, 2012, Chatham House, 2015);
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Stakeholder consultation
1
Consult Forest Atlas of Cameroon
2
Consult MINFOF mapping service
3
Consult Departments within the Ministry of State Property, Surveys and Land Tenure (MINDCAF)
4
Consult Local and neighbouring communities
5
Consult Civil society organisations (WWF, FODER, RELUFA, CED, etc.)
Description of legal requirements
Allocation of forest areas to logging purposes shall follow regulatory modalities. There shall be no land use conflict with other titles or rights.
VIEW MORE
The Forest Code defines the national forest domain as the combination of a permanent forest domain and a non-permanent forest domain. The first comprises land definitively assigned for forestry use, whilst the second comprises land that may be assigned for other uses. The southern Cameroon forest zoning plan (plan de zonage du Cameroun Forestier Méridional) acts as the framework for planning out the management of the space and resources between these two forest domains. 
Permanent forest domain (Domaine forestier permanent, DFP)
According to the law, the DFP covers at least 30% of Cameroon’s total territory. The forests that make up the DFP fall under the private domain of the state or councils, qualified as either state forests or council forests. The state (or council) therefore owns the land and may, in some cases, allocate the rights (management/logging rights) to private persons (either through an operating agreement or a vente de coupe permit)
State forests include: national parks, wildlife reserves, integral ecological reserves, production forests, protection forests, etc. State production forests are divided into forest management units, known as UFAs (unités forestières d’aménagement). 
Forests are integrated into the DFP following a classification procedure, recognised by way of a decree. The forest must be classified before any access rights or management rights over the resource can be allocated. The classification must factor in the land allocation plan if there is one. It is important to note that one of the stages of the classification procedure is a consultation process, during which the stakeholders (administrations, civil society, communities) issue their opinion. Beyond this opinion, the population’s consent is not legally required. On the other hand, if populations are expropriated during the classification of the forest, compensation is paid (art. 2.5 Decision n°1354/D/MINEF/CAB).
There is also a legal debate regarding the potential legal incoherence between land law and forestry law. Land legislation indeed only acknowledges private property on the basis of a land title. Yet the state has no land title over the forest areas classified in the DFP. Despite this, the state’s authority over the areas in the permanent forest domain is not contested.
The forest areas classified in the DFP cannot be declassified unless a space of the same surface area and located in the same geographical zone can be classified as compensation. 
Non-permanent forest domain (domaine forestier non permanent, DFNP)
All other (unclassified) forests, as well as all community forests and private forests constitute the non-permanent forest domain. 
Generally speaking, all natural trees located in the DFNP belong to the state, apart from community forests. In all cases other than community forests, the state may allocate rights to access these resources, notably by issuing vente de coupe permits. However, forest areas that can be allocated by way of a vente de coupe permit must be designated in advance in a vente de coupe planning document (DPVC), which must be widely circulated. Communities with user rights over these areas may then express their intention to erect a community forest in the area concerned instead. Once avente de coupe permit has been attributed, the relevant local community may not, however, submit a competing application on the same area whilst the permit is on-going. 
Furthermore, the allocation of all vente de coupe permits for the purpose of converting the land before rolling out a development project (vente de coupe pour projet de développement, VCPD) must be preceded by the allocation of land titles in line with the applicable land legislation. This normally gives rise to payment of damages to the communities who are stripped of some of their rights over these areas. 
The decision to allocate part of the DFNP as community forest land is made based on an application from a community representative, as well as a favourable opinion from the community. A management agreement is then signed with the state. The user and management rights are granted for 25-year periods. 
Private forests are planted forests erected in areas lawfully acquired by private persons. Private individuals wanting to harvest wood from their planted forests must also submit a technical support file and draw up a simplified management programme. On the contrary, natural trees on land belonging to a private individual actually keep belonging to the State. Nevertheless, the private individual has a right of pre-emption and may therefore acquire them. 
Land ownership within the DFNP may therefore vary, however it is important to note that the proportion of local populations that formally register the land they occupy is low in Cameroon. All unregistered land goes back to the state.
Finally, it should be noted that if the soil on which a planted forest is located belongs to the state, the trees there belong to whoever planted them.
Legally required documents
  • Acknowledgement of receipt by the communities of the DPVC prior to the awarding of the vente de coupe permit, issued by the forest community unit (cellule de la foresterie communautaire, CFC)
Applicable legislation
  • Decision n°1354/D/MINEF/CAB of 26 November 1999 establishing the procedures for classifying forests in the permanent forest domain in the Republic of the Cameroon., 1999.
  • Decree n°95/678/PM of 18 December 1995 setting up an indicative framework for land use in southern forest areas, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0518/MINEF/CAB of 21 December 2001 giving priority to neighbouring village communities for attribution of any forest that may be developed into a community forest;, 2001.
  • Ordinance n°74-1 of 6 July 1974 establishing rules governing land tenure, 1994.
VIEW LESS
1.1 Land tenure and management rights
Last updated on 2021-12-15 Concessions are allocated, despite not having been classified in the permanent forest domain Specified RISK
Forest areas are allocated for logging purposes without the stakeholders being consulted or without the regulatory modalities being taken into account (World Bank, 2010, Chatham House, 2015). Conflicts between forest titles and mining titles regarding use of the land are also often observed (WWF, 2021, Chatham House, 2015) notably due to poor consultation of the stakeholders;Concessions are allocated, despite not having been classified in the per... VIEW MORE
  • Forest areas are allocated for logging purposes without the stakeholders being consulted or without the regulatory modalities being taken into account (World Bank, 2010, Chatham House, 2015). Conflicts between forest titles and mining titles regarding use of the land are also often observed (WWF, 2021, Chatham House, 2015) notably due to poor consultation of the stakeholders;
  • Concessions are allocated, despite not having been classified in the permanent forest domain: sometimes a forest area is classified after (and not prior to) the UFA allocation procedure. Around 430,000 hectares fell into this situation in 2008 (WRI-MINFOF, 2018, cf. map key)
References
VIEW LESS
The risk applies to the following source types
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Decree classifying an area of national forests into the permanent forest domain
Description of legal requirements
UFA concessions shall be allocated on land legally
VIEW MORE
The Forest Code defines the national forest domain as the combination of a permanent forest domain and a non-permanent forest domain. The first comprises land definitively assigned for forestry use, whilst the second comprises land that may be assigned for other uses. The southern Cameroon forest zoning plan (plan de zonage du Cameroun Forestier Méridional) acts as the framework for planning out the management of the space and resources between these two forest domains. 
Permanent forest domain (Domaine forestier permanent, DFP)
According to the law, the DFP covers at least 30% of Cameroon’s total territory. The forests that make up the DFP fall under the private domain of the state or councils, qualified as either state forests or council forests. The state (or council) therefore owns the land and may, in some cases, allocate the rights (management/logging rights) to private persons (either through an operating agreement or a vente de coupe permit)
State forests include: national parks, wildlife reserves, integral ecological reserves, production forests, protection forests, etc. State production forests are divided into forest management units, known as UFAs (unités forestières d’aménagement). 
Forests are integrated into the DFP following a classification procedure, recognised by way of a decree. The forest must be classified before any access rights or management rights over the resource can be allocated. The classification must factor in the land allocation plan if there is one. It is important to note that one of the stages of the classification procedure is a consultation process, during which the stakeholders (administrations, civil society, communities) issue their opinion. Beyond this opinion, the population’s consent is not legally required. On the other hand, if populations are expropriated during the classification of the forest, compensation is paid (art. 2.5 Decision n°1354/D/MINEF/CAB).
There is also a legal debate regarding the potential legal incoherence between land law and forestry law. Land legislation indeed only acknowledges private property on the basis of a land title. Yet the state has no land title over the forest areas classified in the DFP. Despite this, the state’s authority over the areas in the permanent forest domain is not contested.
The forest areas classified in the DFP cannot be declassified unless a space of the same surface area and located in the same geographical zone can be classified as compensation. 
Non-permanent forest domain (domaine forestier non permanent, DFNP)
All other (unclassified) forests, as well as all community forests and private forests constitute the non-permanent forest domain. 
Generally speaking, all natural trees located in the DFNP belong to the state, apart from community forests. In all cases other than community forests, the state may allocate rights to access these resources, notably by issuing vente de coupe permits. However, forest areas that can be allocated by way of a vente de coupe permit must be designated in advance in a vente de coupe planning document (DPVC), which must be widely circulated. Communities with user rights over these areas may then express their intention to erect a community forest in the area concerned instead. Once avente de coupe permit has been attributed, the relevant local community may not, however, submit a competing application on the same area whilst the permit is on-going. 
Furthermore, the allocation of all vente de coupe permits for the purpose of converting the land before rolling out a development project (vente de coupe pour projet de développement, VCPD) must be preceded by the allocation of land titles in line with the applicable land legislation. This normally gives rise to payment of damages to the communities who are stripped of some of their rights over these areas. 
The decision to allocate part of the DFNP as community forest land is made based on an application from a community representative, as well as a favourable opinion from the community. A management agreement is then signed with the state. The user and management rights are granted for 25-year periods. 
Private forests are planted forests erected in areas lawfully acquired by private persons. Private individuals wanting to harvest wood from their planted forests must also submit a technical support file and draw up a simplified management programme. On the contrary, natural trees on land belonging to a private individual actually keep belonging to the State. Nevertheless, the private individual has a right of pre-emption and may therefore acquire them. 
Land ownership within the DFNP may therefore vary, however it is important to note that the proportion of local populations that formally register the land they occupy is low in Cameroon. All unregistered land goes back to the state.
Finally, it should be noted that if the soil on which a planted forest is located belongs to the state, the trees there belong to whoever planted them.
Legally required documents
  • Acknowledgement of receipt by the communities of the DPVC prior to the awarding of the vente de coupe permit, issued by the forest community unit (cellule de la foresterie communautaire, CFC)
Applicable legislation
  • Decision n°1354/D/MINEF/CAB of 26 November 1999 establishing the procedures for classifying forests in the permanent forest domain in the Republic of the Cameroon., 1999.
  • Decree n°95/678/PM of 18 December 1995 setting up an indicative framework for land use in southern forest areas, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0518/MINEF/CAB of 21 December 2001 giving priority to neighbouring village communities for attribution of any forest that may be developed into a community forest;, 2001.
  • Ordinance n°74-1 of 6 July 1974 establishing rules governing land tenure, 1994.
VIEW LESS
1.1 Land tenure and management rights
Last updated on 2021-12-15 Forest areas are allocated for logging purposes without stakeholders’ consultation Specified RISK
Forest areas are allocated for logging purposes without the stakeholders being consulted or without the regulatory modalities being taken into account (World Bank, 2010, Chatham House, 2015). Conflicts between forest titles and mining titles regarding use of the land are also often observed (WWF, 2021, Chatham House, 2015) notably due to poor consultation of the stakeholders;The geographical scope of a forest title is altered (UFA, vente de coupe... VIEW MORE
  • Forest areas are allocated for logging purposes without the stakeholders being consulted or without the regulatory modalities being taken into account (World Bank, 2010, Chatham House, 2015). Conflicts between forest titles and mining titles regarding use of the land are also often observed (WWF, 2021, Chatham House, 2015) notably due to poor consultation of the stakeholders;
  • The geographical scope of a forest title is altered (UFA, vente de coupe permit) without the stakeholders being consulted or the classification/planning procedures being respected (IM-FLEG/REM, 2009, Duhesme, C., 2014, SNOIE/FODER, 2016);
  • The access rights allocated by way of a vente de coupe permit are extended without the stakeholders being consulted (Expert consultation, 2019);
References
VIEW LESS
The risk applies to the following source types
  • Council forests
  • National forests (all other forest areas)
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Minutes from the information meeting prior to the start of logging activities
Check that the actual localisation of the forest title is matching the area initially attributed and relating to the procedures to classify land
2
Verify Vente de coupe planning document (DPVC)
Check both the planning document drawn up by the forest administration and the planning notice issued to the public enabling communities owning rights over these areas and wanting to erect a community forest to exercise their right of pre-emption.
3
Verify Vente de coupe certificate
Check that the actual localisation of the forest title is matching the area initially attributed and relating to the planning
Description of legal requirements
UFAs shall be attributed on lands classified within the permanent forest domain after stakeholders’ consultation. Vente de coupe permits shall be allocated after the planning notice is released to the public. The title shall be matching the area and the period mentioned in the public planning notice.
VIEW MORE
The Forest Code defines the national forest domain as the combination of a permanent forest domain and a non-permanent forest domain. The first comprises land definitively assigned for forestry use, whilst the second comprises land that may be assigned for other uses. The southern Cameroon forest zoning plan (plan de zonage du Cameroun Forestier Méridional) acts as the framework for planning out the management of the space and resources between these two forest domains. 
Permanent forest domain (Domaine forestier permanent, DFP)
According to the law, the DFP covers at least 30% of Cameroon’s total territory. The forests that make up the DFP fall under the private domain of the state or councils, qualified as either state forests or council forests. The state (or council) therefore owns the land and may, in some cases, allocate the rights (management/logging rights) to private persons (either through an operating agreement or a vente de coupe permit)
State forests include: national parks, wildlife reserves, integral ecological reserves, production forests, protection forests, etc. State production forests are divided into forest management units, known as UFAs (unités forestières d’aménagement). 
Forests are integrated into the DFP following a classification procedure, recognised by way of a decree. The forest must be classified before any access rights or management rights over the resource can be allocated. The classification must factor in the land allocation plan if there is one. It is important to note that one of the stages of the classification procedure is a consultation process, during which the stakeholders (administrations, civil society, communities) issue their opinion. Beyond this opinion, the population’s consent is not legally required. On the other hand, if populations are expropriated during the classification of the forest, compensation is paid (art. 2.5 Decision n°1354/D/MINEF/CAB).
There is also a legal debate regarding the potential legal incoherence between land law and forestry law. Land legislation indeed only acknowledges private property on the basis of a land title. Yet the state has no land title over the forest areas classified in the DFP. Despite this, the state’s authority over the areas in the permanent forest domain is not contested.
The forest areas classified in the DFP cannot be declassified unless a space of the same surface area and located in the same geographical zone can be classified as compensation. 
Non-permanent forest domain (domaine forestier non permanent, DFNP)
All other (unclassified) forests, as well as all community forests and private forests constitute the non-permanent forest domain. 
Generally speaking, all natural trees located in the DFNP belong to the state, apart from community forests. In all cases other than community forests, the state may allocate rights to access these resources, notably by issuing vente de coupe permits. However, forest areas that can be allocated by way of a vente de coupe permit must be designated in advance in a vente de coupe planning document (DPVC), which must be widely circulated. Communities with user rights over these areas may then express their intention to erect a community forest in the area concerned instead. Once avente de coupe permit has been attributed, the relevant local community may not, however, submit a competing application on the same area whilst the permit is on-going. 
Furthermore, the allocation of all vente de coupe permits for the purpose of converting the land before rolling out a development project (vente de coupe pour projet de développement, VCPD) must be preceded by the allocation of land titles in line with the applicable land legislation. This normally gives rise to payment of damages to the communities who are stripped of some of their rights over these areas. 
The decision to allocate part of the DFNP as community forest land is made based on an application from a community representative, as well as a favourable opinion from the community. A management agreement is then signed with the state. The user and management rights are granted for 25-year periods. 
Private forests are planted forests erected in areas lawfully acquired by private persons. Private individuals wanting to harvest wood from their planted forests must also submit a technical support file and draw up a simplified management programme. On the contrary, natural trees on land belonging to a private individual actually keep belonging to the State. Nevertheless, the private individual has a right of pre-emption and may therefore acquire them. 
Land ownership within the DFNP may therefore vary, however it is important to note that the proportion of local populations that formally register the land they occupy is low in Cameroon. All unregistered land goes back to the state.
Finally, it should be noted that if the soil on which a planted forest is located belongs to the state, the trees there belong to whoever planted them.
Legally required documents
  • Acknowledgement of receipt by the communities of the DPVC prior to the awarding of the vente de coupe permit, issued by the forest community unit (cellule de la foresterie communautaire, CFC)
Applicable legislation
  • Decision n°1354/D/MINEF/CAB of 26 November 1999 establishing the procedures for classifying forests in the permanent forest domain in the Republic of the Cameroon., 1999.
  • Decree n°95/678/PM of 18 December 1995 setting up an indicative framework for land use in southern forest areas, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0518/MINEF/CAB of 21 December 2001 giving priority to neighbouring village communities for attribution of any forest that may be developed into a community forest;, 2001.
  • Ordinance n°74-1 of 6 July 1974 establishing rules governing land tenure, 1994.
VIEW LESS
1.1 Land tenure and management rights
Last updated on 2021-12-15 Local communities who lose some of their rights over the areas allocated to private stakeholders (classification process or development projects) do not receive compensation Specified RISK
The vente de coupe planning notice is not released to the public, which is required to enable the local communities to exercise their right to erect a community forest in the areas in which they have user rights (CONAC, 2012, Chatham House, 2015);Local communities who lose some of their rights over the areas allocated to private stakeholders (classification process or development projects) do not receive compensation (Expert consultation, 2019).... VIEW MORE
  • The vente de coupe planning notice is not released to the public, which is required to enable the local communities to exercise their right to erect a community forest in the areas in which they have user rights (CONAC, 2012, Chatham House, 2015);
  • Local communities who lose some of their rights over the areas allocated to private stakeholders (classification process or development projects) do not receive compensation (Expert consultation, 2019).
References
VIEW LESS
The risk applies to the following source types
  • State (production) Forests (UFA)
Risk mitigation options
Stakeholder consultation
1
Consult Local and neighbouring communities
Description of legal requirements
In case of expropriation following the classifying of land, compensations shall be awarded.
VIEW MORE
The Forest Code defines the national forest domain as the combination of a permanent forest domain and a non-permanent forest domain. The first comprises land definitively assigned for forestry use, whilst the second comprises land that may be assigned for other uses. The southern Cameroon forest zoning plan (plan de zonage du Cameroun Forestier Méridional) acts as the framework for planning out the management of the space and resources between these two forest domains. 
Permanent forest domain (Domaine forestier permanent, DFP)
According to the law, the DFP covers at least 30% of Cameroon’s total territory. The forests that make up the DFP fall under the private domain of the state or councils, qualified as either state forests or council forests. The state (or council) therefore owns the land and may, in some cases, allocate the rights (management/logging rights) to private persons (either through an operating agreement or a vente de coupe permit)
State forests include: national parks, wildlife reserves, integral ecological reserves, production forests, protection forests, etc. State production forests are divided into forest management units, known as UFAs (unités forestières d’aménagement). 
Forests are integrated into the DFP following a classification procedure, recognised by way of a decree. The forest must be classified before any access rights or management rights over the resource can be allocated. The classification must factor in the land allocation plan if there is one. It is important to note that one of the stages of the classification procedure is a consultation process, during which the stakeholders (administrations, civil society, communities) issue their opinion. Beyond this opinion, the population’s consent is not legally required. On the other hand, if populations are expropriated during the classification of the forest, compensation is paid (art. 2.5 Decision n°1354/D/MINEF/CAB).
There is also a legal debate regarding the potential legal incoherence between land law and forestry law. Land legislation indeed only acknowledges private property on the basis of a land title. Yet the state has no land title over the forest areas classified in the DFP. Despite this, the state’s authority over the areas in the permanent forest domain is not contested.
The forest areas classified in the DFP cannot be declassified unless a space of the same surface area and located in the same geographical zone can be classified as compensation. 
Non-permanent forest domain (domaine forestier non permanent, DFNP)
All other (unclassified) forests, as well as all community forests and private forests constitute the non-permanent forest domain. 
Generally speaking, all natural trees located in the DFNP belong to the state, apart from community forests. In all cases other than community forests, the state may allocate rights to access these resources, notably by issuing vente de coupe permits. However, forest areas that can be allocated by way of a vente de coupe permit must be designated in advance in a vente de coupe planning document (DPVC), which must be widely circulated. Communities with user rights over these areas may then express their intention to erect a community forest in the area concerned instead. Once avente de coupe permit has been attributed, the relevant local community may not, however, submit a competing application on the same area whilst the permit is on-going. 
Furthermore, the allocation of all vente de coupe permits for the purpose of converting the land before rolling out a development project (vente de coupe pour projet de développement, VCPD) must be preceded by the allocation of land titles in line with the applicable land legislation. This normally gives rise to payment of damages to the communities who are stripped of some of their rights over these areas. 
The decision to allocate part of the DFNP as community forest land is made based on an application from a community representative, as well as a favourable opinion from the community. A management agreement is then signed with the state. The user and management rights are granted for 25-year periods. 
Private forests are planted forests erected in areas lawfully acquired by private persons. Private individuals wanting to harvest wood from their planted forests must also submit a technical support file and draw up a simplified management programme. On the contrary, natural trees on land belonging to a private individual actually keep belonging to the State. Nevertheless, the private individual has a right of pre-emption and may therefore acquire them. 
Land ownership within the DFNP may therefore vary, however it is important to note that the proportion of local populations that formally register the land they occupy is low in Cameroon. All unregistered land goes back to the state.
Finally, it should be noted that if the soil on which a planted forest is located belongs to the state, the trees there belong to whoever planted them.
Legally required documents
  • Acknowledgement of receipt by the communities of the DPVC prior to the awarding of the vente de coupe permit, issued by the forest community unit (cellule de la foresterie communautaire, CFC)
Applicable legislation
  • Decision n°1354/D/MINEF/CAB of 26 November 1999 establishing the procedures for classifying forests in the permanent forest domain in the Republic of the Cameroon., 1999.
  • Decree n°95/678/PM of 18 December 1995 setting up an indicative framework for land use in southern forest areas, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0518/MINEF/CAB of 21 December 2001 giving priority to neighbouring village communities for attribution of any forest that may be developed into a community forest;, 2001.
  • Ordinance n°74-1 of 6 July 1974 establishing rules governing land tenure, 1994.
VIEW LESS
1.2 Concession licenses
Last updated on 2021-12-15 The procedures for allocating concessions are not respected, and corrupt practices are used when allocating these titles Specified RISK
Concessions are allocated at the discretion of the state and not through a tender procedure (Expert consultation, 2019);Concessions are allocated despite the inter-ministerial committee for title allocations not having held any meetings (Expert consultation, 2019);Corrupt practices are utilised during the title allocation procedures by the inter-ministerial committee (CONAC, 2012, Kamkuimo, 2013);Irregularities are detected on the part of the int... VIEW MORE
  • Concessions are allocated at the discretion of the state and not through a tender procedure (Expert consultation, 2019);
  • Concessions are allocated despite the inter-ministerial committee for title allocations not having held any meetings (Expert consultation, 2019);
  • Corrupt practices are utilised during the title allocation procedures by the inter-ministerial committee (CONAC, 2012, Kamkuimo, 2013);
  • Irregularities are detected on the part of the inter-ministerial committee for title allocations: inconsistent qualification of bidders, acceptance of additional documents after the deadline, conflicts of interest amongst committee members, lack of transparency or circulation of invitation to tender, unclear invitation to tender, etc. (CONAC, 2012);
  • Lack of valid agreement following the expiry of the provisional agreement (the operator is not formally deemed unfit but is not either granted a definitive agreement) (Expert consultation, 2019);
  • Concessions are allocated to replace existing ones in breach of the procedures in place: in light of constraints impacting the logging operator (financial, environmental, conflicts with communities, etc.), the Ministry of Forests may relocate a previously allocated title, derogating from the legal allocation procedure (IM-FLEG/REM, 2009, Duhesme, C., 2014, SNOIE/FODER, 2016);
References
VIEW LESS
The risk applies to the following source types
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationStakeholder consultation
1
Verify Professional forestry accreditation issued to the applicant
2
Verify Title allocation tender notification
3
Verify Minutes from the inter-ministerial committee for title allocations meeting
4
Verify Notification of approval of the title transfer issued by the inter-ministerial committee for title allocations
5
Consult Independent monitor
Get in touch to obtain information on the concession attribution
6
Consult Local and neighbouring communities
Get in touch to obtain information on the concession attribution
7
Consult Civil society organisations (WWF, FODER, RELUFA, CED, etc.)
Get in touch to obtain information on the concession attribution
8
Consult Local forestry experts
Get in touch to obtain information on the concession attribution
Description of legal requirements
Concession (UFA) allocation shall be compliant with the existing procedures and shall be done by way of a tender procedure examined by the inter-ministerial committee.
VIEW MORE

State forests (UFAs) under an operating agreement

Operating agreements within UFAs can only be allocated to persons previously accredited as logging operators. The law defines an operating agreement as “a contract that grants the concessionaire the right to harvest a volume of wood that can supply its local wood processing industry or industries in the long term within a given forest concession.”

Long-term operating agreements are only allocated following the termination of a provisional operating agreement. 

The key stages of the operating agreement allocation process are as follows: 

  • A public tender procedure is launched;
  • An inter-ministerial committee for title allocations is created for the tender procedure; 
  • The bidders, who must be in possession of a professional forestry accreditation, present their applications (the composition of which is stipulated in detail by the applicable regulations – cf. Order n°95/531);
  • The inter-ministerial committee for title allocations makes a decision based on a set of specific criteria defined by the regulations (in line with financial, technical and professional capacities, and respect for previous commitments – cf. Order n°95/531);
  • A provisional operating agreement is signed between the Ministry of Forests and the winning operator. This provisional agreement cannot exceed 36 months.
  • Following the expiry of the provisional agreement, there are two scenarios: either the concessionaire has not fulfilled all the clauses of the agreement or is found to have breached the agreement, in which case they are no longer allowed to benefit from the forest concession, or the definitive operating agreement is allocated based on a report of the works conducted issued by the forest administration. 
  • If applicable, the definitive operating agreement is allocated by way of a decree for a renewable duration of 15 years. Allocation of this definitive operating agreement is conditional on the specifications being signed and on the planning documents being drawn up and approved (forest management plan, five-year management programme, operations plan for the first year).

The definitive agreement can be renewed upon prior request by the concessionaire, provided that the concessionaire has respected all its contractual obligations. The request is handled by the inter-ministerial committee for title allocations.

Transferring a concession (UFA) between two logging operators

The key regulatory stages for transferring any forest concession are as follows:

  • The accredited logging operator seeking the title files a transfer request and application to the authorities;
  • The concessionaire that currently owns the title notifies the Ministry of Forests (MINFOF) of its agreement to transfer the title to the applicant;
  • An inter-ministerial committee responsible for overseeing the transfer is created and makes a decision in relation to the application;
  • As appropriate, this inter-ministerial transfer committee notifies the applicant of the transfer approval;
  • A new agreement is signed between the new beneficiary and the MINFOF.

It should be noted that the Forestry Code also regulates changes in the shares of a company holding a logging permit: any transfer or new acquisition of shares must be approved by the Minister in charge of forests (art. 42.3 law n°94/01).

Council forest under the UFA regime 

The regulations specify that each council defines the modalities for the allocation of titles for its forests (art. 79.2 decree n°95/531). In practice, a certain number of communal forests are managed by a private operator on the same model as State UFAs. The management and exploitation of the forest is then conceded to a private operator, generally through the signature of a partnership contract. 

Community forests

Community forests are created through the signature of a management agreement with the state. The law defines a community forest management agreement as the “contract by which the forest administration grants a community a portion of national (unclassified) forests for the purpose of its management, conservation and exploitation in the interest of said community.” 

In forest areas, community forests are a maximum of 5,000 hectares, whilst in savannah areas the limit is 250 hectares.

The main stages of creating a community forest are as follows:

  • The community concerned holds a consultation meeting in order to determine the aims and limits of the forest. This meeting is supervised by the forest administration and is recognised by way of a set of minutes;
  • The community submits an application to co-manage a forest space to the forest administration. The regulations define the specific information to be included in this application;
  • The forest administration consults the stakeholders in order to obtain their consent to the allocation of the forest space to the community;
  • If the stakeholders issue a favourable decision, a simplified management programme is prepared with the assistance of the forest administration;
  • Finally, a management agreement is drawn up. The management agreement has the same duration as the simplified management programme. It can be renewed if the community has fulfilled its commitments.

A community forest management agreement template is provided by ministerial order.

Harvesting is conducted within community forests on behalf of the community through the issuance of a logging title (notably vente de coupe permit or other type of permit). 

Applicable legislation
  • Decree n°2000/092/PM of 21 March 2000 – modifying Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forest regime, 2000.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0315 / MINEF of 9 April 2011 establishing the pre-selection criteria and selection processes for logging title bidders, 2011.
  • Order n°0518/MINEF/CAB of 21 December 2001 giving priority to neighbouring village communities for attribution of any forest that may be developed into a community forest;, 2001.
VIEW LESS
1.2 Concession licenses
Last updated on 2021-12-15 Change in the shares of a concession-holder without prior approval from the Minister in charge of forests Specified RISK
Change in the shares of a concession-holder without prior approval from the Minister in charge of forests (Expert consultation, 2019).... VIEW MORE

Change in the shares of a concession-holder without prior approval from the Minister in charge of forests (Expert consultation, 2019).

References
VIEW LESS
The risk applies to the following source types
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Registration to the Commercial register

Compare the concession attribution date to the registration date.

If registration is subsequent to the concession attribution, enquire with the concession-holder and the Ministry in charge of forests to determine whether any change in shares happened.

If applicable, collect the prior approval from the Ministry in charge of forests.

Description of legal requirements
Any change in the shares of the concession-holder shall be approved beforehand.
VIEW MORE

State forests (UFAs) under an operating agreement

Operating agreements within UFAs can only be allocated to persons previously accredited as logging operators. The law defines an operating agreement as “a contract that grants the concessionaire the right to harvest a volume of wood that can supply its local wood processing industry or industries in the long term within a given forest concession.”

Long-term operating agreements are only allocated following the termination of a provisional operating agreement. 

The key stages of the operating agreement allocation process are as follows: 

  • A public tender procedure is launched;
  • An inter-ministerial committee for title allocations is created for the tender procedure; 
  • The bidders, who must be in possession of a professional forestry accreditation, present their applications (the composition of which is stipulated in detail by the applicable regulations – cf. Order n°95/531);
  • The inter-ministerial committee for title allocations makes a decision based on a set of specific criteria defined by the regulations (in line with financial, technical and professional capacities, and respect for previous commitments – cf. Order n°95/531);
  • A provisional operating agreement is signed between the Ministry of Forests and the winning operator. This provisional agreement cannot exceed 36 months.
  • Following the expiry of the provisional agreement, there are two scenarios: either the concessionaire has not fulfilled all the clauses of the agreement or is found to have breached the agreement, in which case they are no longer allowed to benefit from the forest concession, or the definitive operating agreement is allocated based on a report of the works conducted issued by the forest administration. 
  • If applicable, the definitive operating agreement is allocated by way of a decree for a renewable duration of 15 years. Allocation of this definitive operating agreement is conditional on the specifications being signed and on the planning documents being drawn up and approved (forest management plan, five-year management programme, operations plan for the first year).

The definitive agreement can be renewed upon prior request by the concessionaire, provided that the concessionaire has respected all its contractual obligations. The request is handled by the inter-ministerial committee for title allocations.

Transferring a concession (UFA) between two logging operators

The key regulatory stages for transferring any forest concession are as follows:

  • The accredited logging operator seeking the title files a transfer request and application to the authorities;
  • The concessionaire that currently owns the title notifies the Ministry of Forests (MINFOF) of its agreement to transfer the title to the applicant;
  • An inter-ministerial committee responsible for overseeing the transfer is created and makes a decision in relation to the application;
  • As appropriate, this inter-ministerial transfer committee notifies the applicant of the transfer approval;
  • A new agreement is signed between the new beneficiary and the MINFOF.
  • It should be noted that the Forestry Code also regulates changes in the shares of a company holding a logging permit: any transfer or new acquisition of shares must be approved by the Minister in charge of forests (art. 42.3 law n°94/01).

Council forest under the UFA regime 

The regulations specify that each council defines the modalities for the allocation of titles for its forests (art. 79.2 decree n°95/531). In practice, a certain number of communal forests are managed by a private operator on the same model as State UFAs. The management and exploitation of the forest is then conceded to a private operator, generally through the signature of a partnership contract. 

Community forests

Community forests are created through the signature of a management agreement with the state. The law defines a community forest management agreement as the “contract by which the forest administration grants a community a portion of national (unclassified) forests for the purpose of its management, conservation and exploitation in the interest of said community.” 

In forest areas, community forests are a maximum of 5,000 hectares, whilst in savannah areas the limit is 250 hectares.

The main stages of creating a community forest are as follows:

  • The community concerned holds a consultation meeting in order to determine the aims and limits of the forest. This meeting is supervised by the forest administration and is recognised by way of a set of minutes;
  • The community submits an application to co-manage a forest space to the forest administration. The regulations define the specific information to be included in this application;
  • The forest administration consults the stakeholders in order to obtain their consent to the allocation of the forest space to the community;
  • If the stakeholders issue a favourable decision, a simplified management programme is prepared with the assistance of the forest administration;
  • Finally, a management agreement is drawn up. The management agreement has the same duration as the simplified management programme. It can be renewed if the community has fulfilled its commitments.

A community forest management agreement template is provided by ministerial order.

Harvesting is conducted within community forests on behalf of the community through the issuance of a logging title (notably vente de coupe permit or other type of permit). 

Applicable legislation
  • Decree n°2000/092/PM of 21 March 2000 – modifying Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forest regime, 2000.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0315 / MINEF of 9 April 2011 establishing the pre-selection criteria and selection processes for logging title bidders, 2011.
  • Order n°0518/MINEF/CAB of 21 December 2001 giving priority to neighbouring village communities for attribution of any forest that may be developed into a community forest;, 2001.
VIEW LESS
1.2 Concession licenses
Last updated on 2021-12-15 Lack of valid agreement following the expiry of the provisional agreement (the operator is not formally deemed unfit but is not either granted a definitive agreement) Specified RISK
Lack of valid agreement following the expiry of the provisional agreement (the operator is not formally deemed unfit but is not either granted a definitive agreement) (Expert consultation, 2019);Concessions are allocated to replace existing ones in breach of the procedures in place: in light of constraints impacting the logging operator (financial, environmental, conflicts with communities, etc.), the Ministry of Forests may relocate a previously... VIEW MORE

Lack of valid agreement following the expiry of the provisional agreement (the operator is not formally deemed unfit but is not either granted a definitive agreement) (Expert consultation, 2019);

Concessions are allocated to replace existing ones in breach of the procedures in place: in light of constraints impacting the logging operator (financial, environmental, conflicts with communities, etc.), the Ministry of Forests may relocate a previously allocated title, derogating from the legal allocation procedure (IM-FLEG/REM, 2009, Duhesme, C., 2014, SNOIE/FODER, 2016);

Change in the shares of a concession-holder without prior approval from the Minister in charge of forests (Expert consultation, 2019).

References
VIEW LESS
The risk applies to the following source types
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Agreement concluded between the beneficiary and the Ministry of Forests
Description of legal requirements
The operator shall have a valid agreement.
VIEW MORE

State forests (UFAs) under an operating agreement

Operating agreements within UFAs can only be allocated to persons previously accredited as logging operators. The law defines an operating agreement as “a contract that grants the concessionaire the right to harvest a volume of wood that can supply its local wood processing industry or industries in the long term within a given forest concession.”

Long-term operating agreements are only allocated following the termination of a provisional operating agreement. 

The key stages of the operating agreement allocation process are as follows: 

  • A public tender procedure is launched;
  • An inter-ministerial committee for title allocations is created for the tender procedure; 
  • The bidders, who must be in possession of a professional forestry accreditation, present their applications (the composition of which is stipulated in detail by the applicable regulations – cf. Order n°95/531);
  • The inter-ministerial committee for title allocations makes a decision based on a set of specific criteria defined by the regulations (in line with financial, technical and professional capacities, and respect for previous commitments – cf. Order n°95/531);
  • A provisional operating agreement is signed between the Ministry of Forests and the winning operator. This provisional agreement cannot exceed 36 months.
  • Following the expiry of the provisional agreement, there are two scenarios: either the concessionaire has not fulfilled all the clauses of the agreement or is found to have breached the agreement, in which case they are no longer allowed to benefit from the forest concession, or the definitive operating agreement is allocated based on a report of the works conducted issued by the forest administration. 
  • If applicable, the definitive operating agreement is allocated by way of a decree for a renewable duration of 15 years. Allocation of this definitive operating agreement is conditional on the specifications being signed and on the planning documents being drawn up and approved (forest management plan, five-year management programme, operations plan for the first year).

The definitive agreement can be renewed upon prior request by the concessionaire, provided that the concessionaire has respected all its contractual obligations. The request is handled by the inter-ministerial committee for title allocations.

Transferring a concession (UFA) between two logging operators

The key regulatory stages for transferring any forest concession are as follows:

  • The accredited logging operator seeking the title files a transfer request and application to the authorities;
  • The concessionaire that currently owns the title notifies the Ministry of Forests (MINFOF) of its agreement to transfer the title to the applicant;
  • An inter-ministerial committee responsible for overseeing the transfer is created and makes a decision in relation to the application;
  • As appropriate, this inter-ministerial transfer committee notifies the applicant of the transfer approval;
  • A new agreement is signed between the new beneficiary and the MINFOF.

It should be noted that the Forestry Code also regulates changes in the shares of a company holding a logging permit: any transfer or new acquisition of shares must be approved by the Minister in charge of forests (art. 42.3 law n°94/01).

Council forest under the UFA regime 

The regulations specify that each council defines the modalities for the allocation of titles for its forests (art. 79.2 decree n°95/531). In practice, a certain number of communal forests are managed by a private operator on the same model as State UFAs. The management and exploitation of the forest is then conceded to a private operator, generally through the signature of a partnership contract. 

Community forests

Community forests are created through the signature of a management agreement with the state. The law defines a community forest management agreement as the “contract by which the forest administration grants a community a portion of national (unclassified) forests for the purpose of its management, conservation and exploitation in the interest of said community.” 

In forest areas, community forests are a maximum of 5,000 hectares, whilst in savannah areas the limit is 250 hectares.

The main stages of creating a community forest are as follows:

  • The community concerned holds a consultation meeting in order to determine the aims and limits of the forest. This meeting is supervised by the forest administration and is recognised by way of a set of minutes;
  • The community submits an application to co-manage a forest space to the forest administration. The regulations define the specific information to be included in this application;
  • The forest administration consults the stakeholders in order to obtain their consent to the allocation of the forest space to the community;
  • If the stakeholders issue a favourable decision, a simplified management programme is prepared with the assistance of the forest administration;
  • Finally, a management agreement is drawn up. The management agreement has the same duration as the simplified management programme. It can be renewed if the community has fulfilled its commitments.

A community forest management agreement template is provided by ministerial order.

Harvesting is conducted within community forests on behalf of the community through the issuance of a logging title (notably vente de coupe permit or other type of permit). 

Applicable legislation
  • Decree n°2000/092/PM of 21 March 2000 – modifying Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forest regime, 2000.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0315 / MINEF of 9 April 2011 establishing the pre-selection criteria and selection processes for logging title bidders, 2011.
  • Order n°0518/MINEF/CAB of 21 December 2001 giving priority to neighbouring village communities for attribution of any forest that may be developed into a community forest;, 2001.
VIEW LESS
1.2 Concession licenses
Last updated on 2021-12-15 There is no valid management agreement for community forests Specified RISK
For community forestsNo valid management agreement is signed with the state (Expert consultation, 2019).... VIEW MORE

For community forests

No valid management agreement is signed with the state (Expert consultation, 2019).

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
Risk mitigation options
Document verification
1
Verify Agreement concluded between the beneficiary and the Ministry of Forests
Description of legal requirements
The community shall sign a management agreement with the State.
VIEW MORE

State forests (UFAs) under an operating agreement

Operating agreements within UFAs can only be allocated to persons previously accredited as logging operators. The law defines an operating agreement as “a contract that grants the concessionaire the right to harvest a volume of wood that can supply its local wood processing industry or industries in the long term within a given forest concession.”

Long-term operating agreements are only allocated following the termination of a provisional operating agreement. 

The key stages of the operating agreement allocation process are as follows: 

  • A public tender procedure is launched;
  • An inter-ministerial committee for title allocations is created for the tender procedure; 
  • The bidders, who must be in possession of a professional forestry accreditation, present their applications (the composition of which is stipulated in detail by the applicable regulations – cf. Order n°95/531);
  • The inter-ministerial committee for title allocations makes a decision based on a set of specific criteria defined by the regulations (in line with financial, technical and professional capacities, and respect for previous commitments – cf. Order n°95/531);
  • A provisional operating agreement is signed between the Ministry of Forests and the winning operator. This provisional agreement cannot exceed 36 months.
  • Following the expiry of the provisional agreement, there are two scenarios: either the concessionaire has not fulfilled all the clauses of the agreement or is found to have breached the agreement, in which case they are no longer allowed to benefit from the forest concession, or the definitive operating agreement is allocated based on a report of the works conducted issued by the forest administration. 
  • If applicable, the definitive operating agreement is allocated by way of a decree for a renewable duration of 15 years. Allocation of this definitive operating agreement is conditional on the specifications being signed and on the planning documents being drawn up and approved (forest management plan, five-year management programme, operations plan for the first year).

The definitive agreement can be renewed upon prior request by the concessionaire, provided that the concessionaire has respected all its contractual obligations. The request is handled by the inter-ministerial committee for title allocations.

Transferring a concession (UFA) between two logging operators

The key regulatory stages for transferring any forest concession are as follows:

  • The accredited logging operator seeking the title files a transfer request and application to the authorities;
  • The concessionaire that currently owns the title notifies the Ministry of Forests (MINFOF) of its agreement to transfer the title to the applicant;
  • An inter-ministerial committee responsible for overseeing the transfer is created and makes a decision in relation to the application;
  • As appropriate, this inter-ministerial transfer committee notifies the applicant of the transfer approval;
  • A new agreement is signed between the new beneficiary and the MINFOF.
  • It should be noted that the Forestry Code also regulates changes in the shares of a company holding a logging permit: any transfer or new acquisition of shares must be approved by the Minister in charge of forests (art. 42.3 law n°94/01).

Council forest under the UFA regime 

The regulations specify that each council defines the modalities for the allocation of titles for its forests (art. 79.2 decree n°95/531). In practice, a certain number of communal forests are managed by a private operator on the same model as State UFAs. The management and exploitation of the forest is then conceded to a private operator, generally through the signature of a partnership contract. 

Community forests

Community forests are created through the signature of a management agreement with the state. The law defines a community forest management agreement as the “contract by which the forest administration grants a community a portion of national (unclassified) forests for the purpose of its management, conservation and exploitation in the interest of said community.” 

In forest areas, community forests are a maximum of 5,000 hectares, whilst in savannah areas the limit is 250 hectares.

The main stages of creating a community forest are as follows:

  • The community concerned holds a consultation meeting in order to determine the aims and limits of the forest. This meeting is supervised by the forest administration and is recognised by way of a set of minutes;
  • The community submits an application to co-manage a forest space to the forest administration. The regulations define the specific information to be included in this application;
  • The forest administration consults the stakeholders in order to obtain their consent to the allocation of the forest space to the community;
  • If the stakeholders issue a favourable decision, a simplified management programme is prepared with the assistance of the forest administration;
  • Finally, a management agreement is drawn up. The management agreement has the same duration as the simplified management programme. It can be renewed if the community has fulfilled its commitments.

A community forest management agreement template is provided by ministerial order.

Harvesting is conducted within community forests on behalf of the community through the issuance of a logging title (notably vente de coupe permit or other type of permit). 

Applicable legislation
  • Decree n°2000/092/PM of 21 March 2000 – modifying Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forest regime, 2000.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0315 / MINEF of 9 April 2011 establishing the pre-selection criteria and selection processes for logging title bidders, 2011.
  • Order n°0518/MINEF/CAB of 21 December 2001 giving priority to neighbouring village communities for attribution of any forest that may be developed into a community forest;, 2001.
VIEW LESS
1.3 Management and harvesting planning
Last updated on 2021-12-15 The management provisions are not implemented or are only partially implemented Specified RISK
Risks outlined are strongly influenced by the inadequacy of the checks conducted by the Ministry of Forests (IM-FLEG/REM, 2009).For the permanent forest domain (State and council forests, including UFAs), community forests and private forests:The provisions of the forest management plan or simplified management programme are not implemented or are only partially implemented (MEF, 2006, IM-FLEG/REM, 2009, SNOIE/FODER, 2016). For instance, activiti... VIEW MORE

Risks outlined are strongly influenced by the inadequacy of the checks conducted by the Ministry of Forests (IM-FLEG/REM, 2009).

For the permanent forest domain (State and council forests, including UFAs), community forests and private forests:

The provisions of the forest management plan or simplified management programme are not implemented or are only partially implemented (MEF, 2006, IM-FLEG/REM, 2009, SNOIE/FODER, 2016). For instance, activities not provided for in the forest management plan are carried out (hunting, farming, mining, etc.) (WWF, 2012, Chatham House, 2015). In UFAs, the provisions of the annual operations plan might not be coherent with the provisions of the forest management plan, in particular the order of the five-year blocks and annual allowable cuts (IM/AGRECO-CEW, 2010 and 2012).

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
For UFA - verify Forest management plan and its approval notice
Check that the provisions of the annual operations plan are in conformity with those of the management plan and the five-year management programme. In particular, check that the rotation order of the five-year blocks and annual cuttings provided for in the Management Plan is respected. Check that the provisions of the management plan, the five-year management programme and the annual operations plan are implemented
2
For UFA - verify Five-year management programme
Check that the provisions of the annual operations plan are in conformity with those of the management plan and the five-year management programme. In particular, check that the rotation order of the five-year blocks and annual cuttings provided for in the Management Plan is respected. Check that the provisions of the management plan, the five-year management programme and the annual operations plan are implemented
3
Verify Annual operations plan

For UFA - check that the provisions of the annual operations plan are in conformity with those of the management plan and the five-year management programme. In particular, check that the rotation order of the five-year blocks and annual cuttings provided for in the Management Plan is respected. Check that the provisions of the management plan, the five-year management programme and the annual operations plan are implemented.

For Community forest - read the simplified management programme and the annual operations plan and check that their provisions are implemented.

4
Verify Simplified management programme

For Community forest and Private forest - read the simplified management programme and check that their provisions are implemented

Description of legal requirements
The management provisions shall be implemented.
VIEW MORE

PERMANENT FOREST DOMAIN

State forests (UFAs)

In line with the applicable regulations, a forest management plan must be drawn up for all state forests (UFAs) (Art. 29 of Law n°94/01).

For UFAs allocated to forest concessionaires, the forest management plan must be prepared during application of the provisional operating agreement, as a mandatory part of the specifications (Art. 50 and 64 of Law n°94/01). It should be noted that the logging operator may conduct logging activities during this preparation period in annual allowable cuts (2,500 hectares per year maximum) allocated and delineated by the forest administration (Art. 67-5 of Decree n°95-531).

The forest management plan is prepared in line with a pre-existing framework and must contain a number of predefined sections (description of the natural environment, mapping details, forest management inventory, allocation of land and user rights, calculation of allowable cut) (Art. 3-1, 5 and 6 of Order n°222). The forest management plan must notably respect the provisions on mapping data, the technical standards regarding the forest management inventory, the allocation of land, the distribution of inventoried species, the calculation of the allowable cut and minimum harvestable diameters, the subdivision of the concession into five-year blocks and annual allowable cuts, etc. (cf. Order n°222/MINEF).

The forest management plan is prepared in several stages, which are in turn checked and validated by the forest administration:

  • Approval of the sampling plan;
  • Verification of the inventories by the forest administration (once the first three tracks have been cleared);
  • Approval of the forest map;
  • Validation of the inventories and inventory report;
  • Submission of the forest management plan to the forest administration;
  • Examination of the proposal by the forest management plan approval committee (Art. 24 to 31 of Order n°222);
  • Approval of the forest management plan by way of an order issued by the Ministry of Forests.

The communities are consulted on the allocation of the concession land (micro-zoning) and their user rights.

The forest management plan is validated by the Ministry of Forests for a period of 30 years (management rotation period duration – cf. art. 6-g of Order n°222). It may be revised every 5 years (subject to validation from the approval committee).

Harvesting activities must be conducted in compliance with the forest management plan (Art. 44-3 of Law n°94/01), notably regarding the volumes, species and minimum diameters provided for. The forest management plan also defines the annual allowable cut of the UFA (maximum area and/or volume of forest products that can be harvested annually). As the logging rotation period defined by the law is 30 years, the forest management plan defines 6 five-year blocks, each containing 5 adjacent annual allowable cuts (AAC) of equal surface areas.

The five-year management programme is a five-year version of the forest management plan. It must be approved before logging operations can commence in each block. The annual operations plan is the annual version outlining the activities to be conducted for that year. It is based on a full harvesting inventory of the forest resources within the annual allowable cut (Art. 71 of Decree n°95-531). 

The forest management documents also define the implementation of various other activities (maintenance of tracks, infrastructure, reforestation, monitoring, management of wildlife and biodiversity, etc.).

Violation of any of the provisions of a forest management plan for a permanent forest shall result in the suspension or withdrawal of the logging title.

Council forests

Council forests also require a forest management plan (Art. 31 of Law n°94/01). In this case, the forest management plan is drawn up by the people in charge of the council and validated by the forest administration. The forest management plan is then implemented by the council concerned, under the supervision of the forest administration (Art. 48 of Decree 95- 531).

Logging operations cannot commence until the forest management plan has been approved.

Council forests can also be constituted as UFAs, in which case the forest manager must follow the requirements that apply to conceded state forests (inventories, management plan, annual operation plan).

NON-PERMANENT FOREST DOMAIN

Community forests

A simplified management programme is required for community forests (Art. 37- 2 of Law n°94/01). This programme is drawn up in conjunction with the forest administration, however the preparatory works, such as inventories, are carried out at the expense of the community (Art. 29- 2 of Decree n°95-531). It is approved by the forest administration.

All activities, including logging activities, must comply with the simplified management programme. The forest area is divided into annual plots. The community is also required to draw up an annual operations plan and to submit it to the forest administration (Art. 96 of Decree n°95-531). An inventory must also be carried out in each annual plot (Art. 50 of Decree n°95-531). These inventories are also validated by the forest administration.

Private planted forests

Private forests are also covered by a simplified management programme prepared in conjunction with the forest administration (Art. 39 of Law n°94/01).

National forests covered by a vente de coupe permit

National forests covered by a vente de coupe permit are not managed as such, as they are part of the non-permanent forest domain, which is intended for purposes other than forestry activities. However, loggers must draw up annual operations plans and must respect the rules for operating within forest areas (normes d’intervention en milieu forestier), as well as the minimum diameters and volumes provided for (indicated in the specifications and annual logging certificate). Furthermore, the regulatory provision for all forests to be subjected to a harvesting inventory at the expense of the title beneficiary is also applicable to forests allocated under a vente de coupe permit (Art. 50 and 84 of Decree n°95-531). In this case, the full inventories are carried out at the start of the area’s 3-year logging period.

Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.3 Management and harvesting planning
Last updated on 2021-12-15 The preliminary studies required for the preparation of forest management plans or simplified management programmes are conducted and validated despite not meeting the established standard Specified RISK
Risks outlined are strongly influenced by the inadequacy of the checks conducted by the Ministry of Forests (IM-FLEG/REM, 2009).For the permanent forest domain (State and council forests, including UFAs), community forests and private forests:The preliminary studies required for the preparation of forest management plans or simplified management programmes are conducted and validated despite the fact they do not meet the established standards, no... VIEW MORE

Risks outlined are strongly influenced by the inadequacy of the checks conducted by the Ministry of Forests (IM-FLEG/REM, 2009).

For the permanent forest domain (State and council forests, including UFAs), community forests and private forests:

The preliminary studies required for the preparation of forest management plans or simplified management programmes are conducted and validated despite the fact they do not meet the established standards, notably forest resource inventories and socio-economic studies that are necessary for the micro-zoning of the area (IM-FLEG/REM, 2009);

Logging activities are conducted in the absence of a forest management plan or simplified management programme (in particular in UFAs, the 3-year time frame for drawing up the forest management plan under the provisional operating agreement regime is exceeded) (Expert consultation, 2019);

In UFAs, the provisions of the annual operations plan might not be coherent with the provisions of the forest management plan, in particular the order of the five-year blocks and annual allowable cuts (IM/AGRECO-CEW, 2010 and 2012).

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
For UFA - verify Results of the forest management inventory
2
For UFA - Verify Notifications approving the works carried out during the forest management plan preparation phase (sampling plan, clearing of initial tracks, forest map, inventories, inventory report);
3
For UFA - verify Report from the competent sub-prefecture on the local population consultation procedures
4
For UFA - verify Forest management plan approval committee meeting minutes
5
For Community forests and Private forests - verify Preliminary studies conducted for the drawing of the simplified management programme
6
For Community forests and Private forests - verify Simplified management programme
Description of legal requirements
The forest management plan shall be drawn based on preliminary studies meeting established standards.
VIEW MORE

PERMANENT FOREST DOMAIN

State forests (UFAs)

In line with the applicable regulations, a forest management plan must be drawn up for all state forests (UFAs) (Art. 29 of Law n°94/01).

For UFAs allocated to forest concessionaires, the forest management plan must be prepared during application of the provisional operating agreement, as a mandatory part of the specifications (Art. 50 and 64 of Law n°94/01). It should be noted that the logging operator may conduct logging activities during this preparation period in annual allowable cuts (2,500 hectares per year maximum) allocated and delineated by the forest administration (Art. 67-5 of Decree n°95-531).

The forest management plan is prepared in line with a pre-existing framework and must contain a number of predefined sections (description of the natural environment, mapping details, forest management inventory, allocation of land and user rights, calculation of allowable cut) (Art. 3-1, 5 and 6 of Order n°222). The forest management plan must notably respect the provisions on mapping data, the technical standards regarding the forest management inventory, the allocation of land, the distribution of inventoried species, the calculation of the allowable cut and minimum harvestable diameters, the subdivision of the concession into five-year blocks and annual allowable cuts, etc. (cf. Order n°222/MINEF).

The forest management plan is prepared in several stages, which are in turn checked and validated by the forest administration:

  • Approval of the sampling plan;
  • Verification of the inventories by the forest administration (once the first three tracks have been cleared);
  • Approval of the forest map;
  • Validation of the inventories and inventory report;
  • Submission of the forest management plan to the forest administration;
  • Examination of the proposal by the forest management plan approval committee (Art. 24 to 31 of Order n°222);
  • Approval of the forest management plan by way of an order issued by the Ministry of Forests.

The communities are consulted on the allocation of the concession land (micro-zoning) and their user rights.

The forest management plan is validated by the Ministry of Forests for a period of 30 years (management rotation period duration – cf. art. 6-g of Order n°222). It may be revised every 5 years (subject to validation from the approval committee).

Harvesting activities must be conducted in compliance with the forest management plan (Art. 44-3 of Law n°94/01), notably regarding the volumes, species and minimum diameters provided for. The forest management plan also defines the annual allowable cut of the UFA (maximum area and/or volume of forest products that can be harvested annually). As the logging rotation period defined by the law is 30 years, the forest management plan defines 6 five-year blocks, each containing 5 adjacent annual allowable cuts (AAC) of equal surface areas.

The five-year management programme is a five-year version of the forest management plan. It must be approved before logging operations can commence in each block. The annual operations plan is the annual version outlining the activities to be conducted for that year. It is based on a full harvesting inventory of the forest resources within the annual allowable cut (Art. 71 of Decree n°95-531). 

The forest management documents also define the implementation of various other activities (maintenance of tracks, infrastructure, reforestation, monitoring, management of wildlife and biodiversity, etc.).

Violation of any of the provisions of a forest management plan for a permanent forest shall result in the suspension or withdrawal of the logging title.

Council forests

Council forests also require a forest management plan (Art. 31 of Law n°94/01). In this case, the forest management plan is drawn up by the people in charge of the council and validated by the forest administration. The forest management plan is then implemented by the council concerned, under the supervision of the forest administration (Art. 48 of Decree 95- 531).

Logging operations cannot commence until the forest management plan has been approved.

Council forests can also be constituted as UFAs, in which case the forest manager must follow the requirements that apply to conceded state forests (inventories, management plan, annual operation plan).

NON-PERMANENT FOREST DOMAIN

Community forests

A simplified management programme is required for community forests (Art. 37- 2 of Law n°94/01). This programme is drawn up in conjunction with the forest administration, however the preparatory works, such as inventories, are carried out at the expense of the community (Art. 29- 2 of Decree n°95-531). It is approved by the forest administration.

All activities, including logging activities, must comply with the simplified management programme. The forest area is divided into annual plots. The community is also required to draw up an annual operations plan and to submit it to the forest administration (Art. 96 of Decree n°95-531). An inventory must also be carried out in each annual plot (Art. 50 of Decree n°95-531). These inventories are also validated by the forest administration.

Private planted forests

Private forests are also covered by a simplified management programme prepared in conjunction with the forest administration (Art. 39 of Law n°94/01).

National forests covered by a vente de coupe permit

National forests covered by a vente de coupe permit are not managed as such, as they are part of the non-permanent forest domain, which is intended for purposes other than forestry activities. However, loggers must draw up annual operations plans and must respect the rules for operating within forest areas (normes d’intervention en milieu forestier), as well as the minimum diameters and volumes provided for (indicated in the specifications and annual logging certificate). Furthermore, the regulatory provision for all forests to be subjected to a harvesting inventory at the expense of the title beneficiary is also applicable to forests allocated under a vente de coupe permit (Art. 50 and 84 of Decree n°95-531). In this case, the full inventories are carried out at the start of the area’s 3-year logging period.

Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.3 Management and harvesting planning
Last updated on 2021-12-15 Logging operations are conducted in absence of a harvesting inventory Specified RISK
For national forests allocated by way of a vente de coupe permit and community forests:Logging operations are conducted in absence of a harvesting inventory (IM/AGRECO-CEW, 2010 and 2012).... VIEW MORE

For national forests allocated by way of a vente de coupe permit and community forests:

Logging operations are conducted in absence of a harvesting inventory (IM/AGRECO-CEW, 2010 and 2012).

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • National forests (all other forest areas)
Risk mitigation options
Document verification
1
Verify Results of the forest management inventory
Description of legal requirements
Logging activities shall be conducted after the harvesting inventory. Logging activities shall be conducted after the inventory of the annual plot. It must be approved by the forest authorities.
VIEW MORE

PERMANENT FOREST DOMAIN

State forests (UFAs)

In line with the applicable regulations, a forest management plan must be drawn up for all state forests (UFAs) (Art. 29 of Law n°94/01).

For UFAs allocated to forest concessionaires, the forest management plan must be prepared during application of the provisional operating agreement, as a mandatory part of the specifications (Art. 50 and 64 of Law n°94/01). It should be noted that the logging operator may conduct logging activities during this preparation period in annual allowable cuts (2,500 hectares per year maximum) allocated and delineated by the forest administration (Art. 67-5 of Decree n°95-531).

The forest management plan is prepared in line with a pre-existing framework and must contain a number of predefined sections (description of the natural environment, mapping details, forest management inventory, allocation of land and user rights, calculation of allowable cut) (Art. 3-1, 5 and 6 of Order n°222). The forest management plan must notably respect the provisions on mapping data, the technical standards regarding the forest management inventory, the allocation of land, the distribution of inventoried species, the calculation of the allowable cut and minimum harvestable diameters, the subdivision of the concession into five-year blocks and annual allowable cuts, etc. (cf. Order n°222/MINEF).

The forest management plan is prepared in several stages, which are in turn checked and validated by the forest administration:

  • Approval of the sampling plan;
  • Verification of the inventories by the forest administration (once the first three tracks have been cleared);
  • Approval of the forest map;
  • Validation of the inventories and inventory report;
  • Submission of the forest management plan to the forest administration;
  • Examination of the proposal by the forest management plan approval committee (Art. 24 to 31 of Order n°222);
  • Approval of the forest management plan by way of an order issued by the Ministry of Forests.

The communities are consulted on the allocation of the concession land (micro-zoning) and their user rights.

The forest management plan is validated by the Ministry of Forests for a period of 30 years (management rotation period duration – cf. art. 6-g of Order n°222). It may be revised every 5 years (subject to validation from the approval committee).

Harvesting activities must be conducted in compliance with the forest management plan (Art. 44-3 of Law n°94/01), notably regarding the volumes, species and minimum diameters provided for. The forest management plan also defines the annual allowable cut of the UFA (maximum area and/or volume of forest products that can be harvested annually). As the logging rotation period defined by the law is 30 years, the forest management plan defines 6 five-year blocks, each containing 5 adjacent annual allowable cuts (AAC) of equal surface areas.

The five-year management programme is a five-year version of the forest management plan. It must be approved before logging operations can commence in each block. The annual operations plan is the annual version outlining the activities to be conducted for that year. It is based on a full harvesting inventory of the forest resources within the annual allowable cut (Art. 71 of Decree n°95-531). 

The forest management documents also define the implementation of various other activities (maintenance of tracks, infrastructure, reforestation, monitoring, management of wildlife and biodiversity, etc.).

Violation of any of the provisions of a forest management plan for a permanent forest shall result in the suspension or withdrawal of the logging title.

Council forests

Council forests also require a forest management plan (Art. 31 of Law n°94/01). In this case, the forest management plan is drawn up by the people in charge of the council and validated by the forest administration. The forest management plan is then implemented by the council concerned, under the supervision of the forest administration (Art. 48 of Decree 95- 531).

Logging operations cannot commence until the forest management plan has been approved.

Council forests can also be constituted as UFAs, in which case the forest manager must follow the requirements that apply to conceded state forests (inventories, management plan, annual operation plan).

NON-PERMANENT FOREST DOMAIN

Community forests

A simplified management programme is required for community forests (Art. 37- 2 of Law n°94/01). This programme is drawn up in conjunction with the forest administration, however the preparatory works, such as inventories, are carried out at the expense of the community (Art. 29- 2 of Decree n°95-531). It is approved by the forest administration.

All activities, including logging activities, must comply with the simplified management programme. The forest area is divided into annual plots. The community is also required to draw up an annual operations plan and to submit it to the forest administration (Art. 96 of Decree n°95-531). An inventory must also be carried out in each annual plot (Art. 50 of Decree n°95-531). These inventories are also validated by the forest administration.

Private planted forests

Private forests are also covered by a simplified management programme prepared in conjunction with the forest administration (Art. 39 of Law n°94/01).

National forests covered by a vente de coupe permit

National forests covered by a vente de coupe permit are not managed as such, as they are part of the non-permanent forest domain, which is intended for purposes other than forestry activities. However, loggers must draw up annual operations plans and must respect the rules for operating within forest areas (normes d’intervention en milieu forestier), as well as the minimum diameters and volumes provided for (indicated in the specifications and annual logging certificate). Furthermore, the regulatory provision for all forests to be subjected to a harvesting inventory at the expense of the title beneficiary is also applicable to forests allocated under a vente de coupe permit (Art. 50 and 84 of Decree n°95-531). In this case, the full inventories are carried out at the start of the area’s 3-year logging period.

Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.3 Management and harvesting planning
Last updated on 2021-12-15 Logging activities are conducted in the absence of a forest management plan or simplified management programme Specified RISK
All the risks outlined below are strongly influenced by the inadequacy of the checks conducted by the Ministry of Forests (IM-FLEG/REM, 2009).For the permanent forest domain (State and council forests, including UFAs), community forests and private forests:Logging activities are conducted in the absence of a forest management plan or simplified management programme (in particular in UFAs, the 3-year time frame for drawing up the forest management... VIEW MORE

All the risks outlined below are strongly influenced by the inadequacy of the checks conducted by the Ministry of Forests (IM-FLEG/REM, 2009).

For the permanent forest domain (State and council forests, including UFAs), community forests and private forests:

Logging activities are conducted in the absence of a forest management plan or simplified management programme (in particular in UFAs, the 3-year time frame for drawing up the forest management plan under the provisional operating agreement regime is exceeded) (Expert consultation, 2019);

National forests allocated by way of a vente de coupe permit and community forests:

Logging operations are conducted in absence of a harvesting inventory (IM/AGRECO-CEW, 2010 and 2012).

In addition, for State forests (UFAs):

Logging activities are conducted without a five-year management programme and/or an annual operations plan having been drawn up or validated (IM/AGRECO-CEW, 2010 and 2012).

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Provisional Operating Agreement
Check that the 3 years deadline (36 months) has not been exceeded
2
Verify Forest management plan and its approval notice
3
Verify Simplified management programme
Description of legal requirements
Logging activities shall be conducted with approved forest management plan or simplified management programme
VIEW MORE

PERMANENT FOREST DOMAIN

State forests (UFAs)

In line with the applicable regulations, a forest management plan must be drawn up for all state forests (UFAs) (Art. 29 of Law n°94/01).

For UFAs allocated to forest concessionaires, the forest management plan must be prepared during application of the provisional operating agreement, as a mandatory part of the specifications (Art. 50 and 64 of Law n°94/01). It should be noted that the logging operator may conduct logging activities during this preparation period in annual allowable cuts (2,500 hectares per year maximum) allocated and delineated by the forest administration (Art. 67-5 of Decree n°95-531).

The forest management plan is prepared in line with a pre-existing framework and must contain a number of predefined sections (description of the natural environment, mapping details, forest management inventory, allocation of land and user rights, calculation of allowable cut) (Art. 3-1, 5 and 6 of Order n°222). The forest management plan must notably respect the provisions on mapping data, the technical standards regarding the forest management inventory, the allocation of land, the distribution of inventoried species, the calculation of the allowable cut and minimum harvestable diameters, the subdivision of the concession into five-year blocks and annual allowable cuts, etc. (cf. Order n°222/MINEF).

The forest management plan is prepared in several stages, which are in turn checked and validated by the forest administration:

  • Approval of the sampling plan;
  • Verification of the inventories by the forest administration (once the first three tracks have been cleared);
  • Approval of the forest map;
  • Validation of the inventories and inventory report;
  • Submission of the forest management plan to the forest administration;
  • Examination of the proposal by the forest management plan approval committee (Art. 24 to 31 of Order n°222);
  • Approval of the forest management plan by way of an order issued by the Ministry of Forests.

The communities are consulted on the allocation of the concession land (micro-zoning) and their user rights.

The forest management plan is validated by the Ministry of Forests for a period of 30 years (management rotation period duration – cf. art. 6-g of Order n°222). It may be revised every 5 years (subject to validation from the approval committee).

Harvesting activities must be conducted in compliance with the forest management plan (Art. 44-3 of Law n°94/01), notably regarding the volumes, species and minimum diameters provided for. The forest management plan also defines the annual allowable cut of the UFA (maximum area and/or volume of forest products that can be harvested annually). As the logging rotation period defined by the law is 30 years, the forest management plan defines 6 five-year blocks, each containing 5 adjacent annual allowable cuts (AAC) of equal surface areas.

The five-year management programme is a five-year version of the forest management plan. It must be approved before logging operations can commence in each block. The annual operations plan is the annual version outlining the activities to be conducted for that year. It is based on a full harvesting inventory of the forest resources within the annual allowable cut (Art. 71 of Decree n°95-531). 

The forest management documents also define the implementation of various other activities (maintenance of tracks, infrastructure, reforestation, monitoring, management of wildlife and biodiversity, etc.).

Violation of any of the provisions of a forest management plan for a permanent forest shall result in the suspension or withdrawal of the logging title.

Council forests

Council forests also require a forest management plan (Art. 31 of Law n°94/01). In this case, the forest management plan is drawn up by the people in charge of the council and validated by the forest administration. The forest management plan is then implemented by the council concerned, under the supervision of the forest administration (Art. 48 of Decree 95- 531).

Logging operations cannot commence until the forest management plan has been approved.

Council forests can also be constituted as UFAs, in which case the forest manager must follow the requirements that apply to conceded state forests (inventories, management plan, annual operation plan).

NON-PERMANENT FOREST DOMAIN

Community forests

A simplified management programme is required for community forests (Art. 37- 2 of Law n°94/01). This programme is drawn up in conjunction with the forest administration, however the preparatory works, such as inventories, are carried out at the expense of the community (Art. 29- 2 of Decree n°95-531). It is approved by the forest administration.

All activities, including logging activities, must comply with the simplified management programme. The forest area is divided into annual plots. The community is also required to draw up an annual operations plan and to submit it to the forest administration (Art. 96 of Decree n°95-531). An inventory must also be carried out in each annual plot (Art. 50 of Decree n°95-531). These inventories are also validated by the forest administration.

Private planted forests

Private forests are also covered by a simplified management programme prepared in conjunction with the forest administration (Art. 39 of Law n°94/01).

National forests covered by a vente de coupe permit

National forests covered by a vente de coupe permit are not managed as such, as they are part of the non-permanent forest domain, which is intended for purposes other than forestry activities. However, loggers must draw up annual operations plans and must respect the rules for operating within forest areas (normes d’intervention en milieu forestier), as well as the minimum diameters and volumes provided for (indicated in the specifications and annual logging certificate). Furthermore, the regulatory provision for all forests to be subjected to a harvesting inventory at the expense of the title beneficiary is also applicable to forests allocated under a vente de coupe permit (Art. 50 and 84 of Decree n°95-531). In this case, the full inventories are carried out at the start of the area’s 3-year logging period.

Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.3 Management and harvesting planning
Last updated on 2021-12-15 The Ministry of Forests approves changes to the forest management plan without seeking the opinion of the forest management plan approval committee Specified RISK
The risk outlined below are strongly influenced by the inadequacy of the checks conducted by the Ministry of Forests (IM-FLEG/REM, 2009).For State forests (UFAs):The Ministry of Forests approves changes to the forest management plan (modifications to the plots of land, modifications to the minimum management diameter (DMA) or minimum harvesting diameter (DME), authorisation of the harvesting of specific species) without seeking the opinion of the... VIEW MORE

The risk outlined below are strongly influenced by the inadequacy of the checks conducted by the Ministry of Forests (IM-FLEG/REM, 2009).

For State forests (UFAs):

The Ministry of Forests approves changes to the forest management plan (modifications to the plots of land, modifications to the minimum management diameter (DMA) or minimum harvesting diameter (DME), authorisation of the harvesting of specific species) without seeking the opinion of the forest management plan approval committee.

Annual allowable cuts are notably frequently modified without the forest management plan being revised (Expert consultation, 2019);

References
VIEW LESS
The risk applies to the following source types
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Forest management plan and its approval notice
Check the date of the latest version of the current forest management plan. If the initial forest management plan has been modified, collect the prior approval from the management plan approval committee
Description of legal requirements
Any modification to the forest management plan shall be approved by the management plan approval committee.
VIEW MORE

PERMANENT FOREST DOMAIN

State forests (UFAs)

In line with the applicable regulations, a forest management plan must be drawn up for all state forests (UFAs) (Art. 29 of Law n°94/01).

For UFAs allocated to forest concessionaires, the forest management plan must be prepared during application of the provisional operating agreement, as a mandatory part of the specifications (Art. 50 and 64 of Law n°94/01). It should be noted that the logging operator may conduct logging activities during this preparation period in annual allowable cuts (2,500 hectares per year maximum) allocated and delineated by the forest administration (Art. 67-5 of Decree n°95-531).

The forest management plan is prepared in line with a pre-existing framework and must contain a number of predefined sections (description of the natural environment, mapping details, forest management inventory, allocation of land and user rights, calculation of allowable cut) (Art. 3-1, 5 and 6 of Order n°222). The forest management plan must notably respect the provisions on mapping data, the technical standards regarding the forest management inventory, the allocation of land, the distribution of inventoried species, the calculation of the allowable cut and minimum harvestable diameters, the subdivision of the concession into five-year blocks and annual allowable cuts, etc. (cf. Order n°222/MINEF).

The forest management plan is prepared in several stages, which are in turn checked and validated by the forest administration:

  • Approval of the sampling plan;
  • Verification of the inventories by the forest administration (once the first three tracks have been cleared);
  • Approval of the forest map;
  • Validation of the inventories and inventory report;
  • Submission of the forest management plan to the forest administration;
  • Examination of the proposal by the forest management plan approval committee (Art. 24 to 31 of Order n°222);
  • Approval of the forest management plan by way of an order issued by the Ministry of Forests.

The communities are consulted on the allocation of the concession land (micro-zoning) and their user rights.

The forest management plan is validated by the Ministry of Forests for a period of 30 years (management rotation period duration – cf. art. 6-g of Order n°222). It may be revised every 5 years (subject to validation from the approval committee).

Harvesting activities must be conducted in compliance with the forest management plan (Art. 44-3 of Law n°94/01), notably regarding the volumes, species and minimum diameters provided for. The forest management plan also defines the annual allowable cut of the UFA (maximum area and/or volume of forest products that can be harvested annually). As the logging rotation period defined by the law is 30 years, the forest management plan defines 6 five-year blocks, each containing 5 adjacent annual allowable cuts (AAC) of equal surface areas.

The five-year management programme is a five-year version of the forest management plan. It must be approved before logging operations can commence in each block. The annual operations plan is the annual version outlining the activities to be conducted for that year. It is based on a full harvesting inventory of the forest resources within the annual allowable cut (Art. 71 of Decree n°95-531). 

The forest management documents also define the implementation of various other activities (maintenance of tracks, infrastructure, reforestation, monitoring, management of wildlife and biodiversity, etc.).

Violation of any of the provisions of a forest management plan for a permanent forest shall result in the suspension or withdrawal of the logging title.

Council forests

Council forests also require a forest management plan (Art. 31 of Law n°94/01). In this case, the forest management plan is drawn up by the people in charge of the council and validated by the forest administration. The forest management plan is then implemented by the council concerned, under the supervision of the forest administration (Art. 48 of Decree 95- 531).

Logging operations cannot commence until the forest management plan has been approved.

Council forests can also be constituted as UFAs, in which case the forest manager must follow the requirements that apply to conceded state forests (inventories, management plan, annual operation plan).

NON-PERMANENT FOREST DOMAIN

Community forests

A simplified management programme is required for community forests (Art. 37- 2 of Law n°94/01). This programme is drawn up in conjunction with the forest administration, however the preparatory works, such as inventories, are carried out at the expense of the community (Art. 29- 2 of Decree n°95-531). It is approved by the forest administration.

All activities, including logging activities, must comply with the simplified management programme. The forest area is divided into annual plots. The community is also required to draw up an annual operations plan and to submit it to the forest administration (Art. 96 of Decree n°95-531). An inventory must also be carried out in each annual plot (Art. 50 of Decree n°95-531). These inventories are also validated by the forest administration.

Private planted forests

Private forests are also covered by a simplified management programme prepared in conjunction with the forest administration (Art. 39 of Law n°94/01).

National forests covered by a vente de coupe permit

National forests covered by a vente de coupe permit are not managed as such, as they are part of the non-permanent forest domain, which is intended for purposes other than forestry activities. However, loggers must draw up annual operations plans and must respect the rules for operating within forest areas (normes d’intervention en milieu forestier), as well as the minimum diameters and volumes provided for (indicated in the specifications and annual logging certificate). Furthermore, the regulatory provision for all forests to be subjected to a harvesting inventory at the expense of the title beneficiary is also applicable to forests allocated under a vente de coupe permit (Art. 50 and 84 of Decree n°95-531). In this case, the full inventories are carried out at the start of the area’s 3-year logging period.

Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.3 Management and harvesting planning
Last updated on 2021-12-15 Logging activities are conducted without a five-year management programme and an annual operation plan Specified RISK
Risks outlined are strongly influenced by the inadequacy of the checks conducted by the Ministry of Forests (IM-FLEG/REM, 2009).Logging activities are conducted without a five-year management programme and/or an annual operations plan having been drawn up or validated (IM/AGRECO-CEW, 2010 and 2012).... VIEW MORE

Risks outlined are strongly influenced by the inadequacy of the checks conducted by the Ministry of Forests (IM-FLEG/REM, 2009).

Logging activities are conducted without a five-year management programme and/or an annual operations plan having been drawn up or validated (IM/AGRECO-CEW, 2010 and 2012).

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Five-year management programme

Check that it is approved

2
Verify Annual operations plan
Check that it is approved
Description of legal requirements
The five-year management programme and the annual operations plan shall be drawn and approved prior to the start of logging activities.
VIEW MORE

PERMANENT FOREST DOMAIN

State forests (UFAs)

In line with the applicable regulations, a forest management plan must be drawn up for all state forests (UFAs) (Art. 29 of Law n°94/01).

For UFAs allocated to forest concessionaires, the forest management plan must be prepared during application of the provisional operating agreement, as a mandatory part of the specifications (Art. 50 and 64 of Law n°94/01). It should be noted that the logging operator may conduct logging activities during this preparation period in annual allowable cuts (2,500 hectares per year maximum) allocated and delineated by the forest administration (Art. 67-5 of Decree n°95-531).

The forest management plan is prepared in line with a pre-existing framework and must contain a number of predefined sections (description of the natural environment, mapping details, forest management inventory, allocation of land and user rights, calculation of allowable cut) (Art. 3-1, 5 and 6 of Order n°222). The forest management plan must notably respect the provisions on mapping data, the technical standards regarding the forest management inventory, the allocation of land, the distribution of inventoried species, the calculation of the allowable cut and minimum harvestable diameters, the subdivision of the concession into five-year blocks and annual allowable cuts, etc. (cf. Order n°222/MINEF).

The forest management plan is prepared in several stages, which are in turn checked and validated by the forest administration:

  • Approval of the sampling plan;
  • Verification of the inventories by the forest administration (once the first three tracks have been cleared);
  • Approval of the forest map;
  • Validation of the inventories and inventory report;
  • Submission of the forest management plan to the forest administration;
  • Examination of the proposal by the forest management plan approval committee (Art. 24 to 31 of Order n°222);
  • Approval of the forest management plan by way of an order issued by the Ministry of Forests.

The communities are consulted on the allocation of the concession land (micro-zoning) and their user rights.

The forest management plan is validated by the Ministry of Forests for a period of 30 years (management rotation period duration – cf. art. 6-g of Order n°222). It may be revised every 5 years (subject to validation from the approval committee).

Harvesting activities must be conducted in compliance with the forest management plan (Art. 44-3 of Law n°94/01), notably regarding the volumes, species and minimum diameters provided for. The forest management plan also defines the annual allowable cut of the UFA (maximum area and/or volume of forest products that can be harvested annually). As the logging rotation period defined by the law is 30 years, the forest management plan defines 6 five-year blocks, each containing 5 adjacent annual allowable cuts (AAC) of equal surface areas.

The five-year management programme is a five-year version of the forest management plan. It must be approved before logging operations can commence in each block. The annual operations plan is the annual version outlining the activities to be conducted for that year. It is based on a full harvesting inventory of the forest resources within the annual allowable cut (Art. 71 of Decree n°95-531). 

The forest management documents also define the implementation of various other activities (maintenance of tracks, infrastructure, reforestation, monitoring, management of wildlife and biodiversity, etc.).

Violation of any of the provisions of a forest management plan for a permanent forest shall result in the suspension or withdrawal of the logging title.

Council forests

Council forests also require a forest management plan (Art. 31 of Law n°94/01). In this case, the forest management plan is drawn up by the people in charge of the council and validated by the forest administration. The forest management plan is then implemented by the council concerned, under the supervision of the forest administration (Art. 48 of Decree 95- 531).

Logging operations cannot commence until the forest management plan has been approved.

Council forests can also be constituted as UFAs, in which case the forest manager must follow the requirements that apply to conceded state forests (inventories, management plan, annual operation plan).

NON-PERMANENT FOREST DOMAIN

Community forests

A simplified management programme is required for community forests (Art. 37- 2 of Law n°94/01). This programme is drawn up in conjunction with the forest administration, however the preparatory works, such as inventories, are carried out at the expense of the community (Art. 29- 2 of Decree n°95-531). It is approved by the forest administration.

All activities, including logging activities, must comply with the simplified management programme. The forest area is divided into annual plots. The community is also required to draw up an annual operations plan and to submit it to the forest administration (Art. 96 of Decree n°95-531). An inventory must also be carried out in each annual plot (Art. 50 of Decree n°95-531). These inventories are also validated by the forest administration.

Private planted forests

Private forests are also covered by a simplified management programme prepared in conjunction with the forest administration (Art. 39 of Law n°94/01).

National forests covered by a vente de coupe permit

National forests covered by a vente de coupe permit are not managed as such, as they are part of the non-permanent forest domain, which is intended for purposes other than forestry activities. However, loggers must draw up annual operations plans and must respect the rules for operating within forest areas (normes d’intervention en milieu forestier), as well as the minimum diameters and volumes provided for (indicated in the specifications and annual logging certificate). Furthermore, the regulatory provision for all forests to be subjected to a harvesting inventory at the expense of the title beneficiary is also applicable to forests allocated under a vente de coupe permit (Art. 50 and 84 of Decree n°95-531). In this case, the full inventories are carried out at the start of the area’s 3-year logging period.

Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.3 Management and harvesting planning
Last updated on 2021-12-15 Logging activities are conducted without an annual operations plan having been drawn up or validated Specified RISK
All the risks outlined below are strongly influenced by the inadequacy of the checks conducted by the Ministry of Forests (IM-FLEG/REM, 2009).Logging activities are conducted without a five-year management programme and/or an annual operations plan having been drawn up or validated (IM/AGRECO-CEW, 2010 and 2012).... VIEW MORE

All the risks outlined below are strongly influenced by the inadequacy of the checks conducted by the Ministry of Forests (IM-FLEG/REM, 2009).

Logging activities are conducted without a five-year management programme and/or an annual operations plan having been drawn up or validated (IM/AGRECO-CEW, 2010 and 2012).

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
Risk mitigation options
Document verification
1
Verify Annual operations plan

Check that it has been notified to the forest administration.

Description of legal requirements
The annual operations plan shall be drawn and notified to the forest administration.
VIEW MORE

NON-PERMANENT FOREST DOMAIN

Community forests

A simplified management programme is required for community forests (Art. 37- 2 of Law n°94/01). This programme is drawn up in conjunction with the forest administration, however the preparatory works, such as inventories, are carried out at the expense of the community (Art. 29- 2 of Decree n°95-531). It is approved by the forest administration.

All activities, including logging activities, must comply with the simplified management programme. The forest area is divided into annual plots. The community is also required to draw up an annual operations plan and to submit it to the forest administration (Art. 96 of Decree n°95-531). An inventory must also be carried out in each annual plot (Art. 50 of Decree n°95-531). These inventories are also validated by the forest administration.

Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.4 Harvesting permits
Last updated on 2021-12-15 Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary Specified RISK
Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);For Sta... VIEW MORE

Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);

For State forests (UFAs under an operating agreement) and communal forests under the UFA regime (with a partnership contract): 

Annual logging operations are commenced before the annual operating permit has been issued (Expert consultation, 2019);

For all source types logged by way of a Vente de coupe permit, or timber exploitation permit, or personal logging licence or another title / authorisation:

  • The title borders are not clearly delineated or the title is unlawfully relocated by the forest administration (IM/AGRECO-CEW, 2010);
  • No annual logging certificate / Vente de coupe certificate exists or logging operations are commenced before the certificate is issued (SNOIE, n°5-2019, n°8-2020);
  • Logging is conducted by an operator that is not in possession of a professional forestry accreditation (e.g. See SNOIE, n°11-2020);

•   The specifications for logging (or the development project if applicable) are not respected (IM-FLEG/REM, 2009), with no consequences on the renewal of the existing permit or allocation of a new permit;

•   Vente de coupe pour projet de développement permits, AEBs and ARBs are used fraudulently (for example, where the development project is never actually implemented, or where an AEB issued to evacuate logs left on an old vente de coupe permit area is used to conduct new felling operations) (IM--FLEG/REM, 2006 and 2009);

•   Standard vente de coupe permits are exploited beyond the regulatory 3-year period/annual permits are issued beyond the initial validity period of the title, particularly for vente de coupe permits that have a strict regulatory 3-year limit (Expert consultation, 2019).

For auctions: 

•   Very high risk of deliberate laundering of illegally harvested wood and corruption (Chatham House, 2015). Note: any wood originating from harvesting operations proven to be illegal that is then sold at auction might never reach compliance with legality regulations (such as the European Union Timber Regulation), despite the legal framework enabling it to be sold in Cameroon.

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Field verificationSupply Chain Mapping
1
Map the full supply chain back to the area of harvest
Collect relevant harvest, trade and transport documents (for instance field log books and waybills). Ensure that traceability is maintained between specific trees and the final product or, at the minimum, that volumes indicated on harvest, trade and transport documents are sufficient to cover the product.
2
Visit Harvesting site
Consider evaluating onsite that timber is not mixed with unknown sources. Each point of storage / processing of the timber shall be considered.
3
Visit Processing site

Consider evaluating onsite that timber is not mixed with unknown sources. Each point of storage / processing of the timber shall be considered.

Description of legal requirements
Wood shall originate from a legal source type
VIEW MORE
Direct harvesting scenario (State, council and community forests)
The harvesting of State, council and community forests can be carried out directly: the State/council/community administration can either conduct the logging activities itself or it may outsource them. In this case, a subcontracting contract is concluded with a logging operator in possession of a professional forestry accreditation.
For community forests, a logging certificate must be obtained annually by the community managing the forest.
Management concession scenario (operating agreements for State forests (UFAs) and partnership contracts for council forests under the UFA regime)
Within the framework of a UFA covered by an operating agreement or, for communal forests, under a partnership contract, the operator must obtain an annual operating permit, which is issued by the forest administration upon presentation of an annual operations plan, drawn up based on a harvesting inventory (Art. 71 of Decree n°95-531 and Art. 39 of Order n°222), as well as other supporting documents.
However, during the drawing of the forest management plan (maximum first 3 years), logging certificates are issued instead.
Vente de coupe permits (mainly within national forests, also possible within State, council and community forests)
Vente de coupe permits are awarded for a maximum of 3 years. They are non-renewable and cover a maximum of 2,500 hectares. 
Several types of forests may be exploited through the allocation of vente de coupe permits (Art. 57 et seq. and Art. 81 et seq. of Decree n°95-531). Vente de coupe permits are mainly created and awarded for national forests. Legally, State forests (UFAs) can be logged by way of a Vente de coupe permit, although this is not used anymore. Communities and councils may also choose to sell the standing wood in their community and council forests through vente de coupe permits.
Targeted areas within national forests are determined annually and listed in a vente de coupe planning document (DPV), which must be made publicly available. Communities benefit from rights of pre-emption over the forest resources and may request for a community forest to be established within the areas that the state plans to allocate under vente de coupe permits.
Vente de coupe permits are awarded by ministerial order following a tender procedure. The tender files are examined by an inter-ministerial committee, based on a set of criteria established by the regulations. 
Vente de coupe certificates must be issued at the start to the beneficiary of the vente de coupe permit by the forest administration, based on a file that the beneficiary must submit (inventory report, certificate of conformity of the inventory results, activity report for the year just ended, etc.). 
Vente de coupe permits are sometimes allocated within the framework of full forest conversion projects on a section of the state’s private domain. Such conversion operations must be performed prior to the implementation of the development project. These types of vente de coupe permits are awarded for varying durations. 
Timber exploitation permits (council forests, community forests, national forests)
The legislation also provides for the allocation of timber exploitation permits for artisanal processing. These permits are awarded upon presentation of a file by the applicant. The area covered by the permit is marked out and subjected to a prior inventory. The total volume of trees intended for sale cannot exceed 500 m3 (Art. 89 and 90 of Decree n°95-531).
Personal logging licences (council forests, community forests, national forests)
The Cameroonian legal framework also provides for personal logging licences intended to meet domestic needs, notably in terms of fire wood and construction wood, beyond the exercise of user rights (Art. 94 of Decree n°95-531).
SPECIFIC CASES
Private planted forests

The Forest Code established that wood in forests belonging to a private individual can be harvested by the owner or any person of their choice upon simple prior notification to the forest administration (Art. 97 of Decree n°95-531). However, it seems that in practice further steps are required by the forest administration (annual logging permits). There are still too few cases of harvesting in private planted forests and the legal framework concerning the required harvesting permit is likely to evolve.
Logging permits for special forest products 
The regulations enable the administration to establish a list of special forest products that require a special permit. Ebony is one of these. 
Harvested timber removal licences 
Harvested timber removal licences (autorisation d’enlèvement du bois, AEB) may be granted when the wood has already been cut (abandoned, stranded or confiscated) (Art. 73 of Law n°94-01 and Art. 112 and 113 of Decree n°95-531). 
AEBs can be issued for any kind of forest in either the permanent or non-permanent domain. These licences are subject to a report of the volumes concerned. They are issued following a tender procedure. 
In practice, these authorisations are no longer granted to any great extent.
Salvage licences
Salvage licences (autorisation de récupération du bois, ARB) may be allocated within the national forest domain for the purpose of selling standing wood that needs to be felled for other reasons (development project, clearing of an evacuation route) (Art. 73 of Law n°94/01 and Art. 110 and 111 of Decree n°95-531). 
These licences are subject to an inventory of the volumes concerned. They are issued following a tender procedure by the inter-ministerial committee for title allocations.
In practice, these authorisations are no longer granted to any great extent.
Auctions
Cameroonian law permits wood that has been harvested illegally to be put into circulation on the market. Cameroonian criminal law provides for the seizure and confiscation of all wood that has been subjected to illegal practices detected by the relevant authorities. Following confiscation by the administration, the wood may be sold at auction to the highest bidder. This practice may account a significant volume or wood, which may make its way onto the international market. The highest bidder must also submit a file to the Ministry of Forests.  
 
Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0315 / MINEF of 9 April 2011 establishing the pre-selection criteria and selection processes for logging title bidders, 2011.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.4 Harvesting permits
Last updated on 2021-12-15 Permits/authorisations are issued or supporting documents are submitted prior to the permit/authorisation being issued in breach of the allocation procedure Specified RISK
Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);For Sta... VIEW MORE

Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);

For State forests (UFAs under an operating agreement) and communal forests under the UFA regime (with a partnership contract): 

•   Annual logging operations are commenced before the annual operating permit has been issued (Expert consultation, 2019);

For all source types logged by way of a Vente de coupe permit, or timber exploitation permit, or personal logging licence or another title / authorisation:

•   Permits/authorisations are issued or supporting documents are submitted prior to the permit/authorisation being issued in breach of the allocation procedure;

o   Titles are awarded by non-authorised authorities. As a consequence, said titles do not appear on the list of valid titles kept by the Ministry of Forests (Chatham House, 2015);

o   No tender procedure is implemented (IM/AGRECO-CEW, 2010);

o   The composition of the committee for title allocations is non-compliant (absence of representatives from the required ministries, regional rather than national meetings) (Expert consultation, 2019);

o   Irregularities are detected on the part of the inter-ministerial committee for title allocations: inconsistent qualification of bidders, acceptance of additional documents after the deadline, conflicts of interest amongst committee members, lack of transparency or circulation of invitation to tender, unclear invitation to tender, etc. (CONAC, 2012);

o   No effective checks that harvesting inventories have been properly carried out on the ground are conducted (permits may be issued without the inventory works provided for having been conducted (IM/AGRECO-CEW, 2012);

o   Corruption (IM-FLEG/REM, 2009, CONAC, 2012, Kamkuimo, 2013);

•   The title borders are not clearly delineated or the title is unlawfully relocated by the forest administration (IM/AGRECO-CEW, 2010);

•   No annual logging certificate / Vente de coupe certificate exists or logging operations are commenced before the certificate is issued (SNOIE, n°5-2019, n°8-2020);

•   Logging is conducted by an operator that is not in possession of a professional forestry accreditation (e.g. See SNOIE, n°11-2020);

•   The specifications for logging (or the development project if applicable) are not respected (IM-FLEG/REM, 2009), with no consequences on the renewal of the existing permit or allocation of a new permit;

•   Vente de coupe pour projet de développement permits, AEBs and ARBs are used fraudulently (for example, where the development project is never actually implemented, or where an AEB issued to evacuate logs left on an old vente de coupe permit area is used to conduct new felling operations) (IM--FLEG/REM, 2006 and 2009);

•   Standard vente de coupe permits are exploited beyond the regulatory 3-year period/annual permits are issued beyond the initial validity period of the title, particularly for vente de coupe permits that have a strict regulatory 3-year limit (Expert consultation, 2019).

For auctions: 

•   Very high risk of deliberate laundering of illegally harvested wood and corruption (Chatham House, 2015). Note: any wood originating from harvesting operations proven to be illegal that is then sold at auction might never reach compliance with legality regulations (such as the European Union Timber Regulation), despite the legal framework enabling it to be sold in Cameroon

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
Risk mitigation options
Document verificationStakeholder consultation
1
Verify List of valid titles issued by the Ministry of Forests
Documents relating to the involvement of the committee for title allocations. Check elements concerning its composition, meeting dates, elements taken into account, etc. For Vente de coupe permits, check elements relating to the tendering process.
2
Verify Certificate of conformity of inventory works
3
Consult Independent monitor

Obtain information on the issuance of the title

4
Consult Civil society organisations (WWF, FODER, RELUFA, CED, etc.)

Obtain information on the issuance of the title

5
Consult Local forestry experts

Obtain information on the issuance of the title

Description of legal requirements
The allocation procedure for permits/authorisations shall be enforced
VIEW MORE
Direct harvesting scenario (State, council and community forests)
The harvesting of State, council and community forests can be carried out directly: the State/council/community administration can either conduct the logging activities itself or it may outsource them. In this case, a subcontracting contract is concluded with a logging operator in possession of a professional forestry accreditation.
For community forests, a logging certificate must be obtained annually by the community managing the forest.
Management concession scenario (operating agreements for State forests (UFAs) and partnership contracts for council forests under the UFA regime)
Within the framework of a UFA covered by an operating agreement or, for communal forests, under a partnership contract, the operator must obtain an annual operating permit, which is issued by the forest administration upon presentation of an annual operations plan, drawn up based on a harvesting inventory (Art. 71 of Decree n°95-531 and Art. 39 of Order n°222), as well as other supporting documents.
However, during the drawing of the forest management plan (maximum first 3 years), logging certificates are issued instead.
Vente de coupe permits (mainly within national forests, also possible within State, council and community forests)
Vente de coupe permits are awarded for a maximum of 3 years. They are non-renewable and cover a maximum of 2,500 hectares. 
Several types of forests may be exploited through the allocation of vente de coupe permits (Art. 57 et seq. and Art. 81 et seq. of Decree n°95-531). Vente de coupe permits are mainly created and awarded for national forests. Legally, State forests (UFAs) can be logged by way of a Vente de coupe permit, although this is not used anymore. Communities and councils may also choose to sell the standing wood in their community and council forests through vente de coupe permits.
Targeted areas within national forests are determined annually and listed in a vente de coupe planning document (DPV), which must be made publicly available. Communities benefit from rights of pre-emption over the forest resources and may request for a community forest to be established within the areas that the state plans to allocate under vente de coupe permits.
Vente de coupe permits are awarded by ministerial order following a tender procedure. The tender files are examined by an inter-ministerial committee, based on a set of criteria established by the regulations. 
Vente de coupe certificates must be issued at the start to the beneficiary of the vente de coupe permit by the forest administration, based on a file that the beneficiary must submit (inventory report, certificate of conformity of the inventory results, activity report for the year just ended, etc.). 
Vente de coupe permits are sometimes allocated within the framework of full forest conversion projects on a section of the state’s private domain. Such conversion operations must be performed prior to the implementation of the development project. These types of vente de coupe permits are awarded for varying durations. 
Timber exploitation permits (council forests, community forests, national forests)
The legislation also provides for the allocation of timber exploitation permits for artisanal processing. These permits are awarded upon presentation of a file by the applicant. The area covered by the permit is marked out and subjected to a prior inventory. The total volume of trees intended for sale cannot exceed 500 m3 (Art. 89 and 90 of Decree n°95-531).
Personal logging licences (council forests, community forests, national forests)
The Cameroonian legal framework also provides for personal logging licences intended to meet domestic needs, notably in terms of fire wood and construction wood, beyond the exercise of user rights (Art. 94 of Decree n°95-531).
SPECIFIC CASES
Private planted forests

The Forest Code established that wood in forests belonging to a private individual can be harvested by the owner or any person of their choice upon simple prior notification to the forest administration (Art. 97 of Decree n°95-531). However, it seems that in practice further steps are required by the forest administration (annual logging permits). There are still too few cases of harvesting in private planted forests and the legal framework concerning the required harvesting permit is likely to evolve.
Logging permits for special forest products 
The regulations enable the administration to establish a list of special forest products that require a special permit. Ebony is one of these. 
Harvested timber removal licences 
Harvested timber removal licences (autorisation d’enlèvement du bois, AEB) may be granted when the wood has already been cut (abandoned, stranded or confiscated) (Art. 73 of Law n°94-01 and Art. 112 and 113 of Decree n°95-531). 
AEBs can be issued for any kind of forest in either the permanent or non-permanent domain. These licences are subject to a report of the volumes concerned. They are issued following a tender procedure. 
In practice, these authorisations are no longer granted to any great extent.
Salvage licences
Salvage licences (autorisation de récupération du bois, ARB) may be allocated within the national forest domain for the purpose of selling standing wood that needs to be felled for other reasons (development project, clearing of an evacuation route) (Art. 73 of Law n°94/01 and Art. 110 and 111 of Decree n°95-531). 
These licences are subject to an inventory of the volumes concerned. They are issued following a tender procedure by the inter-ministerial committee for title allocations.
In practice, these authorisations are no longer granted to any great extent.
Auctions
Cameroonian law permits wood that has been harvested illegally to be put into circulation on the market. Cameroonian criminal law provides for the seizure and confiscation of all wood that has been subjected to illegal practices detected by the relevant authorities. Following confiscation by the administration, the wood may be sold at auction to the highest bidder. This practice may account a significant volume or wood, which may make its way onto the international market. The highest bidder must also submit a file to the Ministry of Forests.  
 
Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0315 / MINEF of 9 April 2011 establishing the pre-selection criteria and selection processes for logging title bidders, 2011.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.4 Harvesting permits
Last updated on 2021-12-15 Logging is conducted by an operator that is not in possession of a professional forestry accreditation Specified RISK
Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);For Sta... VIEW MORE

Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);

For State forests (UFAs under an operating agreement) and communal forests under the UFA regime (with a partnership contract): 

•   Annual logging operations are commenced before the annual operating permit has been issued (Expert consultation, 2019);

For all source types logged by way of a Vente de coupe permit, or timber exploitation permit, or personal logging licence or another title / authorisation:

•   Permits/authorisations are issued or supporting documents are submitted prior to the permit/authorisation being issued in breach of the allocation procedure;

o   Titles are awarded by non-authorised authorities. As a consequence, said titles do not appear on the list of valid titles kept by the Ministry of Forests (Chatham House, 2015);

o   No tender procedure is implemented (IM/AGRECO-CEW, 2010);

o   The composition of the committee for title allocations is non-compliant (absence of representatives from the required ministries, regional rather than national meetings) (Expert consultation, 2019);

o   Irregularities are detected on the part of the inter-ministerial committee for title allocations: inconsistent qualification of bidders, acceptance of additional documents after the deadline, conflicts of interest amongst committee members, lack of transparency or circulation of invitation to tender, unclear invitation to tender, etc. (CONAC, 2012);

o   No effective checks that harvesting inventories have been properly carried out on the ground are conducted (permits may be issued without the inventory works provided for having been conducted (IM/AGRECO-CEW, 2012);

o   Corruption (IM-FLEG/REM, 2009, CONAC, 2012, Kamkuimo, 2013);

•   The title borders are not clearly delineated or the title is unlawfully relocated by the forest administration (IM/AGRECO-CEW, 2010);

•   No annual logging certificate / Vente de coupe certificate exists or logging operations are commenced before the certificate is issued (SNOIE, n°5-2019, n°8-2020);

•   Logging is conducted by an operator that is not in possession of a professional forestry accreditation (e.g. See SNOIE, n°11-2020);

•   The specifications for logging (or the development project if applicable) are not respected (IM-FLEG/REM, 2009), with no consequences on the renewal of the existing permit or allocation of a new permit;

•   Vente de coupe pour projet de développement permits, AEBs and ARBs are used fraudulently (for example, where the development project is never actually implemented, or where an AEB issued to evacuate logs left on an old vente de coupe permit area is used to conduct new felling operations) (IM--FLEG/REM, 2006 and 2009);

•   Standard vente de coupe permits are exploited beyond the regulatory 3-year period/annual permits are issued beyond the initial validity period of the title, particularly for vente de coupe permits that have a strict regulatory 3-year limit (Expert consultation, 2019).

For auctions: 

•   Very high risk of deliberate laundering of illegally harvested wood and corruption (Chatham House, 2015). Note: any wood originating from harvesting operations proven to be illegal that is then sold at auction might never reach compliance with legality regulations (such as the European Union Timber Regulation), despite the legal framework enabling it to be sold in Cameroon.

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
Risk mitigation options
Document verification
1
Verify Professional forestry accreditation issued to the applicant
Description of legal requirements
The title or authorisation holder shall be in possession of a professional forestry accreditation
VIEW MORE
Direct harvesting scenario (State, council and community forests)
The harvesting of State, council and community forests can be carried out directly: the State/council/community administration can either conduct the logging activities itself or it may outsource them. In this case, a subcontracting contract is concluded with a logging operator in possession of a professional forestry accreditation.
For community forests, a logging certificate must be obtained annually by the community managing the forest.
Management concession scenario (operating agreements for State forests (UFAs) and partnership contracts for council forests under the UFA regime)
Within the framework of a UFA covered by an operating agreement or, for communal forests, under a partnership contract, the operator must obtain an annual operating permit, which is issued by the forest administration upon presentation of an annual operations plan, drawn up based on a harvesting inventory (Art. 71 of Decree n°95-531 and Art. 39 of Order n°222), as well as other supporting documents.
However, during the drawing of the forest management plan (maximum first 3 years), logging certificates are issued instead.
Vente de coupe permits (mainly within national forests, also possible within State, council and community forests)
Vente de coupe permits are awarded for a maximum of 3 years. They are non-renewable and cover a maximum of 2,500 hectares. 
Several types of forests may be exploited through the allocation of vente de coupe permits (Art. 57 et seq. and Art. 81 et seq. of Decree n°95-531). Vente de coupe permits are mainly created and awarded for national forests. Legally, State forests (UFAs) can be logged by way of a Vente de coupe permit, although this is not used anymore. Communities and councils may also choose to sell the standing wood in their community and council forests through vente de coupe permits.
Targeted areas within national forests are determined annually and listed in a vente de coupe planning document (DPV), which must be made publicly available. Communities benefit from rights of pre-emption over the forest resources and may request for a community forest to be established within the areas that the state plans to allocate under vente de coupe permits.
Vente de coupe permits are awarded by ministerial order following a tender procedure. The tender files are examined by an inter-ministerial committee, based on a set of criteria established by the regulations. 
Vente de coupe certificates must be issued at the start to the beneficiary of the vente de coupe permit by the forest administration, based on a file that the beneficiary must submit (inventory report, certificate of conformity of the inventory results, activity report for the year just ended, etc.). 
Vente de coupe permits are sometimes allocated within the framework of full forest conversion projects on a section of the state’s private domain. Such conversion operations must be performed prior to the implementation of the development project. These types of vente de coupe permits are awarded for varying durations. 
Timber exploitation permits (council forests, community forests, national forests)
The legislation also provides for the allocation of timber exploitation permits for artisanal processing. These permits are awarded upon presentation of a file by the applicant. The area covered by the permit is marked out and subjected to a prior inventory. The total volume of trees intended for sale cannot exceed 500 m3 (Art. 89 and 90 of Decree n°95-531).
Personal logging licences (council forests, community forests, national forests)
The Cameroonian legal framework also provides for personal logging licences intended to meet domestic needs, notably in terms of fire wood and construction wood, beyond the exercise of user rights (Art. 94 of Decree n°95-531).
SPECIFIC CASES
Private planted forests

The Forest Code established that wood in forests belonging to a private individual can be harvested by the owner or any person of their choice upon simple prior notification to the forest administration (Art. 97 of Decree n°95-531). However, it seems that in practice further steps are required by the forest administration (annual logging permits). There are still too few cases of harvesting in private planted forests and the legal framework concerning the required harvesting permit is likely to evolve.
Logging permits for special forest products 
The regulations enable the administration to establish a list of special forest products that require a special permit. Ebony is one of these. 
Harvested timber removal licences 
Harvested timber removal licences (autorisation d’enlèvement du bois, AEB) may be granted when the wood has already been cut (abandoned, stranded or confiscated) (Art. 73 of Law n°94-01 and Art. 112 and 113 of Decree n°95-531). 
AEBs can be issued for any kind of forest in either the permanent or non-permanent domain. These licences are subject to a report of the volumes concerned. They are issued following a tender procedure. 
In practice, these authorisations are no longer granted to any great extent.
Salvage licences
Salvage licences (autorisation de récupération du bois, ARB) may be allocated within the national forest domain for the purpose of selling standing wood that needs to be felled for other reasons (development project, clearing of an evacuation route) (Art. 73 of Law n°94/01 and Art. 110 and 111 of Decree n°95-531). 
These licences are subject to an inventory of the volumes concerned. They are issued following a tender procedure by the inter-ministerial committee for title allocations.
In practice, these authorisations are no longer granted to any great extent.
Auctions
Cameroonian law permits wood that has been harvested illegally to be put into circulation on the market. Cameroonian criminal law provides for the seizure and confiscation of all wood that has been subjected to illegal practices detected by the relevant authorities. Following confiscation by the administration, the wood may be sold at auction to the highest bidder. This practice may account a significant volume or wood, which may make its way onto the international market. The highest bidder must also submit a file to the Ministry of Forests.  
 
Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0315 / MINEF of 9 April 2011 establishing the pre-selection criteria and selection processes for logging title bidders, 2011.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.4 Harvesting permits
Last updated on 2021-12-15 The title borders are not clearly delineated or the title is unlawfully relocated Specified RISK
Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);For Sta... VIEW MORE

Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);

For State forests (UFAs under an operating agreement) and communal forests under the UFA regime (with a partnership contract): 

•   Annual logging operations are commenced before the annual operating permit has been issued (Expert consultation, 2019);

For all source types logged by way of a Vente de coupe permit, or timber exploitation permit, or personal logging licence or another title / authorisation:

•   Permits/authorisations are issued or supporting documents are submitted prior to the permit/authorisation being issued in breach of the allocation procedure;

o   Titles are awarded by non-authorised authorities. As a consequence, said titles do not appear on the list of valid titles kept by the Ministry of Forests (Chatham House, 2015);

o   No tender procedure is implemented (IM/AGRECO-CEW, 2010);

o   The composition of the committee for title allocations is non-compliant (absence of representatives from the required ministries, regional rather than national meetings) (Expert consultation, 2019);

o   Irregularities are detected on the part of the inter-ministerial committee for title allocations: inconsistent qualification of bidders, acceptance of additional documents after the deadline, conflicts of interest amongst committee members, lack of transparency or circulation of invitation to tender, unclear invitation to tender, etc. (CONAC, 2012);

o   No effective checks that harvesting inventories have been properly carried out on the ground are conducted (permits may be issued without the inventory works provided for having been conducted (IM/AGRECO-CEW, 2012);

o   Corruption (IM-FLEG/REM, 2009, CONAC, 2012, Kamkuimo, 2013);

•   The title borders are not clearly delineated or the title is unlawfully relocated by the forest administration (IM/AGRECO-CEW, 2010);

•   No annual logging certificate / Vente de coupe certificate exists or logging operations are commenced before the certificate is issued (SNOIE, n°5-2019, n°8-2020);

•   Logging is conducted by an operator that is not in possession of a professional forestry accreditation (e.g. See SNOIE, n°11-2020);

•   The specifications for logging (or the development project if applicable) are not respected (IM-FLEG/REM, 2009), with no consequences on the renewal of the existing permit or allocation of a new permit;

•   Vente de coupe pour projet de développement permits, AEBs and ARBs are used fraudulently (for example, where the development project is never actually implemented, or where an AEB issued to evacuate logs left on an old vente de coupe permit area is used to conduct new felling operations) (IM--FLEG/REM, 2006 and 2009);

•   Standard vente de coupe permits are exploited beyond the regulatory 3-year period/annual permits are issued beyond the initial validity period of the title, particularly for vente de coupe permits that have a strict regulatory 3-year limit (Expert consultation, 2019).

For auctions: 

•   Very high risk of deliberate laundering of illegally harvested wood and corruption (Chatham House, 2015). Note: any wood originating from harvesting operations proven to be illegal that is then sold at auction might never reach compliance with legality regulations (such as the European Union Timber Regulation), despite the legal framework enabling it to be sold in Cameroon.

References
VIEW LESS
The risk applies to the following source types
  • National forests (all other forest areas)
Risk mitigation options
Document verificationField verification
1
Verify Harvesting site
Check geographic information on the initial logging title. Check that the title is clearly delineated on the field and that it has not been relocated
2
Visit Local and neighbouring communities
Description of legal requirements
The title shall be clearly delineated in a way that is not modified
VIEW MORE
Direct harvesting scenario (State, council and community forests)
The harvesting of State, council and community forests can be carried out directly: the State/council/community administration can either conduct the logging activities itself or it may outsource them. In this case, a subcontracting contract is concluded with a logging operator in possession of a professional forestry accreditation.
For community forests, a logging certificate must be obtained annually by the community managing the forest.
Management concession scenario (operating agreements for State forests (UFAs) and partnership contracts for council forests under the UFA regime)
Within the framework of a UFA covered by an operating agreement or, for communal forests, under a partnership contract, the operator must obtain an annual operating permit, which is issued by the forest administration upon presentation of an annual operations plan, drawn up based on a harvesting inventory (Art. 71 of Decree n°95-531 and Art. 39 of Order n°222), as well as other supporting documents.
However, during the drawing of the forest management plan (maximum first 3 years), logging certificates are issued instead.
Vente de coupe permits (mainly within national forests, also possible within State, council and community forests)
Vente de coupe permits are awarded for a maximum of 3 years. They are non-renewable and cover a maximum of 2,500 hectares. 
Several types of forests may be exploited through the allocation of vente de coupe permits (Art. 57 et seq. and Art. 81 et seq. of Decree n°95-531). Vente de coupe permits are mainly created and awarded for national forests. Legally, State forests (UFAs) can be logged by way of a Vente de coupe permit, although this is not used anymore. Communities and councils may also choose to sell the standing wood in their community and council forests through vente de coupe permits.
Targeted areas within national forests are determined annually and listed in a vente de coupe planning document (DPV), which must be made publicly available. Communities benefit from rights of pre-emption over the forest resources and may request for a community forest to be established within the areas that the state plans to allocate under vente de coupe permits.
Vente de coupe permits are awarded by ministerial order following a tender procedure. The tender files are examined by an inter-ministerial committee, based on a set of criteria established by the regulations. 
Vente de coupe certificates must be issued at the start to the beneficiary of the vente de coupe permit by the forest administration, based on a file that the beneficiary must submit (inventory report, certificate of conformity of the inventory results, activity report for the year just ended, etc.). 
Vente de coupe permits are sometimes allocated within the framework of full forest conversion projects on a section of the state’s private domain. Such conversion operations must be performed prior to the implementation of the development project. These types of vente de coupe permits are awarded for varying durations. 
Timber exploitation permits (council forests, community forests, national forests)
The legislation also provides for the allocation of timber exploitation permits for artisanal processing. These permits are awarded upon presentation of a file by the applicant. The area covered by the permit is marked out and subjected to a prior inventory. The total volume of trees intended for sale cannot exceed 500 m3 (Art. 89 and 90 of Decree n°95-531).
Personal logging licences (council forests, community forests, national forests)
The Cameroonian legal framework also provides for personal logging licences intended to meet domestic needs, notably in terms of fire wood and construction wood, beyond the exercise of user rights (Art. 94 of Decree n°95-531).
SPECIFIC CASES
Private planted forests

The Forest Code established that wood in forests belonging to a private individual can be harvested by the owner or any person of their choice upon simple prior notification to the forest administration (Art. 97 of Decree n°95-531). However, it seems that in practice further steps are required by the forest administration (annual logging permits). There are still too few cases of harvesting in private planted forests and the legal framework concerning the required harvesting permit is likely to evolve.
Logging permits for special forest products 
The regulations enable the administration to establish a list of special forest products that require a special permit. Ebony is one of these. 
Harvested timber removal licences 
Harvested timber removal licences (autorisation d’enlèvement du bois, AEB) may be granted when the wood has already been cut (abandoned, stranded or confiscated) (Art. 73 of Law n°94-01 and Art. 112 and 113 of Decree n°95-531). 
AEBs can be issued for any kind of forest in either the permanent or non-permanent domain. These licences are subject to a report of the volumes concerned. They are issued following a tender procedure. 
In practice, these authorisations are no longer granted to any great extent.
Salvage licences
Salvage licences (autorisation de récupération du bois, ARB) may be allocated within the national forest domain for the purpose of selling standing wood that needs to be felled for other reasons (development project, clearing of an evacuation route) (Art. 73 of Law n°94/01 and Art. 110 and 111 of Decree n°95-531). 
These licences are subject to an inventory of the volumes concerned. They are issued following a tender procedure by the inter-ministerial committee for title allocations.
In practice, these authorisations are no longer granted to any great extent.
Auctions
Cameroonian law permits wood that has been harvested illegally to be put into circulation on the market. Cameroonian criminal law provides for the seizure and confiscation of all wood that has been subjected to illegal practices detected by the relevant authorities. Following confiscation by the administration, the wood may be sold at auction to the highest bidder. This practice may account a significant volume or wood, which may make its way onto the international market. The highest bidder must also submit a file to the Ministry of Forests.  
 
Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0315 / MINEF of 9 April 2011 establishing the pre-selection criteria and selection processes for logging title bidders, 2011.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.4 Harvesting permits
Last updated on 2021-12-15 No annual logging authorisation exits or logging operations are commenced before it is issued Specified RISK
Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);For Sta... VIEW MORE

Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);

For State forests (UFAs under an operating agreement) and communal forests under the UFA regime (with a partnership contract): 

•   Annual logging operations are commenced before the annual operating permit has been issued (Expert consultation, 2019);

For all source types logged by way of a Vente de coupe permit, or timber exploitation permit, or personal logging licence or another title / authorisation:

•   Permits/authorisations are issued or supporting documents are submitted prior to the permit/authorisation being issued in breach of the allocation procedure;

o   Titles are awarded by non-authorised authorities. As a consequence, said titles do not appear on the list of valid titles kept by the Ministry of Forests (Chatham House, 2015);

o   No tender procedure is implemented (IM/AGRECO-CEW, 2010);

o   The composition of the committee for title allocations is non-compliant (absence of representatives from the required ministries, regional rather than national meetings) (Expert consultation, 2019);

o   Irregularities are detected on the part of the inter-ministerial committee for title allocations: inconsistent qualification of bidders, acceptance of additional documents after the deadline, conflicts of interest amongst committee members, lack of transparency or circulation of invitation to tender, unclear invitation to tender, etc. (CONAC, 2012);

o   No effective checks that harvesting inventories have been properly carried out on the ground are conducted (permits may be issued without the inventory works provided for having been conducted (IM/AGRECO-CEW, 2012);

o   Corruption (IM-FLEG/REM, 2009, CONAC, 2012, Kamkuimo, 2013);

•   The title borders are not clearly delineated or the title is unlawfully relocated by the forest administration (IM/AGRECO-CEW, 2010);

•   No annual logging certificate / Vente de coupe certificate exists or logging operations are commenced before the certificate is issued (SNOIE, n°5-2019, n°8-2020);

•   Logging is conducted by an operator that is not in possession of a professional forestry accreditation (e.g. See SNOIE, n°11-2020);

•   The specifications for logging (or the development project if applicable) are not respected (IM-FLEG/REM, 2009), with no consequences on the renewal of the existing permit or allocation of a new permit;

•   Vente de coupe pour projet de développement permits, AEBs and ARBs are used fraudulently (for example, where the development project is never actually implemented, or where an AEB issued to evacuate logs left on an old vente de coupe permit area is used to conduct new felling operations) (IM--FLEG/REM, 2006 and 2009);

•   Standard vente de coupe permits are exploited beyond the regulatory 3-year period/annual permits are issued beyond the initial validity period of the title, particularly for vente de coupe permits that have a strict regulatory 3-year limit (Expert consultation, 2019).

For auctions: 

•   Very high risk of deliberate laundering of illegally harvested wood and corruption (Chatham House, 2015). Note: any wood originating from harvesting operations proven to be illegal that is then sold at auction might never reach compliance with legality regulations (such as the European Union Timber Regulation), despite the legal framework enabling it to be sold in Cameroon.

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
For UFA - verify Annual operating permit
Check that logging activities did not start prior to its approval (for instance by cross-checking site log books and waybills).
2
Verify Site log books

Check that logging activities did not start prior to its approval (for instance by cross-checking site log books and waybills).

3
Verify Waybill

Check that logging activities did not start prior to its approval (for instance by cross-checking site log books and waybills).

4
Verify Annual logging certificate
Check that logging activities did not start prior to its approval (for instance by cross-checking site log books and waybills).
Description of legal requirements
Logging activities shall start after the issuance of the annual logging authorisation. Logging activities shall start after the issuance of the Vente de coupe certificate.
VIEW MORE
Direct harvesting scenario (State, council and community forests)
The harvesting of State, council and community forests can be carried out directly: the State/council/community administration can either conduct the logging activities itself or it may outsource them. In this case, a subcontracting contract is concluded with a logging operator in possession of a professional forestry accreditation.
For community forests, a logging certificate must be obtained annually by the community managing the forest.
Management concession scenario (operating agreements for State forests (UFAs) and partnership contracts for council forests under the UFA regime)
Within the framework of a UFA covered by an operating agreement or, for communal forests, under a partnership contract, the operator must obtain an annual operating permit, which is issued by the forest administration upon presentation of an annual operations plan, drawn up based on a harvesting inventory (Art. 71 of Decree n°95-531 and Art. 39 of Order n°222), as well as other supporting documents.
However, during the drawing of the forest management plan (maximum first 3 years), logging certificates are issued instead.
Vente de coupe permits (mainly within national forests, also possible within State, council and community forests)
Vente de coupe permits are awarded for a maximum of 3 years. They are non-renewable and cover a maximum of 2,500 hectares. 
Several types of forests may be exploited through the allocation of vente de coupe permits (Art. 57 et seq. and Art. 81 et seq. of Decree n°95-531). Vente de coupe permits are mainly created and awarded for national forests. Legally, State forests (UFAs) can be logged by way of a Vente de coupe permit, although this is not used anymore. Communities and councils may also choose to sell the standing wood in their community and council forests through vente de coupe permits.
Targeted areas within national forests are determined annually and listed in a vente de coupe planning document (DPV), which must be made publicly available. Communities benefit from rights of pre-emption over the forest resources and may request for a community forest to be established within the areas that the state plans to allocate under vente de coupe permits.
Vente de coupe permits are awarded by ministerial order following a tender procedure. The tender files are examined by an inter-ministerial committee, based on a set of criteria established by the regulations. 
Vente de coupe certificates must be issued at the start to the beneficiary of the vente de coupe permit by the forest administration, based on a file that the beneficiary must submit (inventory report, certificate of conformity of the inventory results, activity report for the year just ended, etc.). 
Vente de coupe permits are sometimes allocated within the framework of full forest conversion projects on a section of the state’s private domain. Such conversion operations must be performed prior to the implementation of the development project. These types of vente de coupe permits are awarded for varying durations. 
Timber exploitation permits (council forests, community forests, national forests)
The legislation also provides for the allocation of timber exploitation permits for artisanal processing. These permits are awarded upon presentation of a file by the applicant. The area covered by the permit is marked out and subjected to a prior inventory. The total volume of trees intended for sale cannot exceed 500 m3 (Art. 89 and 90 of Decree n°95-531).
Personal logging licences (council forests, community forests, national forests)
The Cameroonian legal framework also provides for personal logging licences intended to meet domestic needs, notably in terms of fire wood and construction wood, beyond the exercise of user rights (Art. 94 of Decree n°95-531).
SPECIFIC CASES
Private planted forests

The Forest Code established that wood in forests belonging to a private individual can be harvested by the owner or any person of their choice upon simple prior notification to the forest administration (Art. 97 of Decree n°95-531). However, it seems that in practice further steps are required by the forest administration (annual logging permits). There are still too few cases of harvesting in private planted forests and the legal framework concerning the required harvesting permit is likely to evolve.
Logging permits for special forest products 
The regulations enable the administration to establish a list of special forest products that require a special permit. Ebony is one of these. 
Harvested timber removal licences 
Harvested timber removal licences (autorisation d’enlèvement du bois, AEB) may be granted when the wood has already been cut (abandoned, stranded or confiscated) (Art. 73 of Law n°94-01 and Art. 112 and 113 of Decree n°95-531). 
AEBs can be issued for any kind of forest in either the permanent or non-permanent domain. These licences are subject to a report of the volumes concerned. They are issued following a tender procedure. 
In practice, these authorisations are no longer granted to any great extent.
Salvage licences
Salvage licences (autorisation de récupération du bois, ARB) may be allocated within the national forest domain for the purpose of selling standing wood that needs to be felled for other reasons (development project, clearing of an evacuation route) (Art. 73 of Law n°94/01 and Art. 110 and 111 of Decree n°95-531). 
These licences are subject to an inventory of the volumes concerned. They are issued following a tender procedure by the inter-ministerial committee for title allocations.
In practice, these authorisations are no longer granted to any great extent.
Auctions
Cameroonian law permits wood that has been harvested illegally to be put into circulation on the market. Cameroonian criminal law provides for the seizure and confiscation of all wood that has been subjected to illegal practices detected by the relevant authorities. Following confiscation by the administration, the wood may be sold at auction to the highest bidder. This practice may account a significant volume or wood, which may make its way onto the international market. The highest bidder must also submit a file to the Ministry of Forests.  
 
Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0315 / MINEF of 9 April 2011 establishing the pre-selection criteria and selection processes for logging title bidders, 2011.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.4 Harvesting permits
Last updated on 2021-12-15 The specifications for logging (or the development project if applicable) are not respected, with no consequences on the renewal of the existing permit or allocation of a new permit Specified RISK
Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);For Sta... VIEW MORE

Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);

For State forests (UFAs under an operating agreement) and communal forests under the UFA regime (with a partnership contract): 

•   Annual logging operations are commenced before the annual operating permit has been issued (Expert consultation, 2019);

For all source types logged by way of a Vente de coupe permit, or timber exploitation permit, or personal logging licence or another title / authorisation:

•   Permits/authorisations are issued or supporting documents are submitted prior to the permit/authorisation being issued in breach of the allocation procedure;

o   Titles are awarded by non-authorised authorities. As a consequence, said titles do not appear on the list of valid titles kept by the Ministry of Forests (Chatham House, 2015);

o   No tender procedure is implemented (IM/AGRECO-CEW, 2010);

o   The composition of the committee for title allocations is non-compliant (absence of representatives from the required ministries, regional rather than national meetings) (Expert consultation, 2019);

o   Irregularities are detected on the part of the inter-ministerial committee for title allocations: inconsistent qualification of bidders, acceptance of additional documents after the deadline, conflicts of interest amongst committee members, lack of transparency or circulation of invitation to tender, unclear invitation to tender, etc. (CONAC, 2012);

o   No effective checks that harvesting inventories have been properly carried out on the ground are conducted (permits may be issued without the inventory works provided for having been conducted (IM/AGRECO-CEW, 2012);

o   Corruption (IM-FLEG/REM, 2009, CONAC, 2012, Kamkuimo, 2013);

•   The title borders are not clearly delineated or the title is unlawfully relocated by the forest administration (IM/AGRECO-CEW, 2010);

•   No annual logging certificate / Vente de coupe certificate exists or logging operations are commenced before the certificate is issued (SNOIE, n°5-2019, n°8-2020);

•   Logging is conducted by an operator that is not in possession of a professional forestry accreditation (e.g. See SNOIE, n°11-2020);

•   The specifications for logging (or the development project if applicable) are not respected (IM-FLEG/REM, 2009), with no consequences on the renewal of the existing permit or allocation of a new permit;

•   Vente de coupe pour projet de développement permits, AEBs and ARBs are used fraudulently (for example, where the development project is never actually implemented, or where an AEB issued to evacuate logs left on an old vente de coupe permit area is used to conduct new felling operations) (IM--FLEG/REM, 2006 and 2009);

•   Standard vente de coupe permits are exploited beyond the regulatory 3-year period/annual permits are issued beyond the initial validity period of the title, particularly for vente de coupe permits that have a strict regulatory 3-year limit (Expert consultation, 2019).

For auctions: 

•   Very high risk of deliberate laundering of illegally harvested wood and corruption (Chatham House, 2015). Note: any wood originating from harvesting operations proven to be illegal that is then sold at auction might never reach compliance with legality regulations (such as the European Union Timber Regulation), despite the legal framework enabling it to be sold in Cameroon.

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
Risk mitigation options
Document verificationStakeholder consultation
1
Verify Title specifications

Check that provisions are complied with.

2
Consult Independent monitor
Consult to obtain information on the title renewal / the issuance of new title to the operator
3
Consult Civil society organisations (WWF, FODER, RELUFA, CED, etc.)

Consult to obtain information on the title renewal / the issuance of new title to the operator.

4
Consult Local forestry experts

Consult to obtain information on the title renewal / the issuance of new title to the operator.

Description of legal requirements
The specifications for logging shall be complied with. Otherwise, the permit shall not be renewed or followed by the issuance of a new permit.
VIEW MORE
Direct harvesting scenario (State, council and community forests)
The harvesting of State, council and community forests can be carried out directly: the State/council/community administration can either conduct the logging activities itself or it may outsource them. In this case, a subcontracting contract is concluded with a logging operator in possession of a professional forestry accreditation.
For community forests, a logging certificate must be obtained annually by the community managing the forest.
Management concession scenario (operating agreements for State forests (UFAs) and partnership contracts for council forests under the UFA regime)
Within the framework of a UFA covered by an operating agreement or, for communal forests, under a partnership contract, the operator must obtain an annual operating permit, which is issued by the forest administration upon presentation of an annual operations plan, drawn up based on a harvesting inventory (Art. 71 of Decree n°95-531 and Art. 39 of Order n°222), as well as other supporting documents.
However, during the drawing of the forest management plan (maximum first 3 years), logging certificates are issued instead.
Vente de coupe permits (mainly within national forests, also possible within State, council and community forests)
Vente de coupe permits are awarded for a maximum of 3 years. They are non-renewable and cover a maximum of 2,500 hectares. 
Several types of forests may be exploited through the allocation of vente de coupe permits (Art. 57 et seq. and Art. 81 et seq. of Decree n°95-531). Vente de coupe permits are mainly created and awarded for national forests. Legally, State forests (UFAs) can be logged by way of a Vente de coupe permit, although this is not used anymore. Communities and councils may also choose to sell the standing wood in their community and council forests through vente de coupe permits.
Targeted areas within national forests are determined annually and listed in a vente de coupe planning document (DPV), which must be made publicly available. Communities benefit from rights of pre-emption over the forest resources and may request for a community forest to be established within the areas that the state plans to allocate under vente de coupe permits.
Vente de coupe permits are awarded by ministerial order following a tender procedure. The tender files are examined by an inter-ministerial committee, based on a set of criteria established by the regulations. 
Vente de coupe certificates must be issued at the start to the beneficiary of the vente de coupe permit by the forest administration, based on a file that the beneficiary must submit (inventory report, certificate of conformity of the inventory results, activity report for the year just ended, etc.). 
Vente de coupe permits are sometimes allocated within the framework of full forest conversion projects on a section of the state’s private domain. Such conversion operations must be performed prior to the implementation of the development project. These types of vente de coupe permits are awarded for varying durations. 
Timber exploitation permits (council forests, community forests, national forests)
The legislation also provides for the allocation of timber exploitation permits for artisanal processing. These permits are awarded upon presentation of a file by the applicant. The area covered by the permit is marked out and subjected to a prior inventory. The total volume of trees intended for sale cannot exceed 500 m3 (Art. 89 and 90 of Decree n°95-531).
Personal logging licences (council forests, community forests, national forests)
The Cameroonian legal framework also provides for personal logging licences intended to meet domestic needs, notably in terms of fire wood and construction wood, beyond the exercise of user rights (Art. 94 of Decree n°95-531).
SPECIFIC CASES
Private planted forests

The Forest Code established that wood in forests belonging to a private individual can be harvested by the owner or any person of their choice upon simple prior notification to the forest administration (Art. 97 of Decree n°95-531). However, it seems that in practice further steps are required by the forest administration (annual logging permits). There are still too few cases of harvesting in private planted forests and the legal framework concerning the required harvesting permit is likely to evolve.
Logging permits for special forest products 
The regulations enable the administration to establish a list of special forest products that require a special permit. Ebony is one of these. 
Harvested timber removal licences 
Harvested timber removal licences (autorisation d’enlèvement du bois, AEB) may be granted when the wood has already been cut (abandoned, stranded or confiscated) (Art. 73 of Law n°94-01 and Art. 112 and 113 of Decree n°95-531). 
AEBs can be issued for any kind of forest in either the permanent or non-permanent domain. These licences are subject to a report of the volumes concerned. They are issued following a tender procedure. 
In practice, these authorisations are no longer granted to any great extent.
Salvage licences
Salvage licences (autorisation de récupération du bois, ARB) may be allocated within the national forest domain for the purpose of selling standing wood that needs to be felled for other reasons (development project, clearing of an evacuation route) (Art. 73 of Law n°94/01 and Art. 110 and 111 of Decree n°95-531). 
These licences are subject to an inventory of the volumes concerned. They are issued following a tender procedure by the inter-ministerial committee for title allocations.
In practice, these authorisations are no longer granted to any great extent.
Auctions
Cameroonian law permits wood that has been harvested illegally to be put into circulation on the market. Cameroonian criminal law provides for the seizure and confiscation of all wood that has been subjected to illegal practices detected by the relevant authorities. Following confiscation by the administration, the wood may be sold at auction to the highest bidder. This practice may account a significant volume or wood, which may make its way onto the international market. The highest bidder must also submit a file to the Ministry of Forests.  
 
Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0315 / MINEF of 9 April 2011 establishing the pre-selection criteria and selection processes for logging title bidders, 2011.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.4 Harvesting permits
Last updated on 2021-12-15 Permits are used fraudulently Specified RISK
Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);For Sta... VIEW MORE

Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);

For State forests (UFAs under an operating agreement) and communal forests under the UFA regime (with a partnership contract): 

•   Annual logging operations are commenced before the annual operating permit has been issued (Expert consultation, 2019);

For all source types logged by way of a Vente de coupe permit, or timber exploitation permit, or personal logging licence or another title / authorisation:

•   Permits/authorisations are issued or supporting documents are submitted prior to the permit/authorisation being issued in breach of the allocation procedure;

o   Titles are awarded by non-authorised authorities. As a consequence, said titles do not appear on the list of valid titles kept by the Ministry of Forests (Chatham House, 2015);

o   No tender procedure is implemented (IM/AGRECO-CEW, 2010);

o   The composition of the committee for title allocations is non-compliant (absence of representatives from the required ministries, regional rather than national meetings) (Expert consultation, 2019);

o   Irregularities are detected on the part of the inter-ministerial committee for title allocations: inconsistent qualification of bidders, acceptance of additional documents after the deadline, conflicts of interest amongst committee members, lack of transparency or circulation of invitation to tender, unclear invitation to tender, etc. (CONAC, 2012);

o   No effective checks that harvesting inventories have been properly carried out on the ground are conducted (permits may be issued without the inventory works provided for having been conducted (IM/AGRECO-CEW, 2012);

o   Corruption (IM-FLEG/REM, 2009, CONAC, 2012, Kamkuimo, 2013);

•   The title borders are not clearly delineated or the title is unlawfully relocated by the forest administration (IM/AGRECO-CEW, 2010);

•   No annual logging certificate / Vente de coupe certificate exists or logging operations are commenced before the certificate is issued (SNOIE, n°5-2019, n°8-2020);

•   Logging is conducted by an operator that is not in possession of a professional forestry accreditation (e.g. See SNOIE, n°11-2020);

•   The specifications for logging (or the development project if applicable) are not respected (IM-FLEG/REM, 2009), with no consequences on the renewal of the existing permit or allocation of a new permit;

•   Vente de coupe pour projet de développement permits, AEBs and ARBs are used fraudulently (for example, where the development project is never actually implemented, or where an AEB issued to evacuate logs left on an old vente de coupe permit area is used to conduct new felling operations) (IM--FLEG/REM, 2006 and 2009);

•   Standard vente de coupe permits are exploited beyond the regulatory 3-year period/annual permits are issued beyond the initial validity period of the title, particularly for vente de coupe permits that have a strict regulatory 3-year limit (Expert consultation, 2019).

For auctions: 

•   Very high risk of deliberate laundering of illegally harvested wood and corruption (Chatham House, 2015). Note: any wood originating from harvesting operations proven to be illegal that is then sold at auction might never reach compliance with legality regulations (such as the European Union Timber Regulation), despite the legal framework enabling it to be sold in Cameroon.

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Documents relating to the development project in question attesting to its effective implementation
Check that there are no new felling operations, e.g. by checking dates on site/wood transport documents, by asking local people for information
Description of legal requirements
The cause for issuing the title shall be authentic and the title provisions shall be complied with.
VIEW MORE
Direct harvesting scenario (State, council and community forests)
The harvesting of State, council and community forests can be carried out directly: the State/council/community administration can either conduct the logging activities itself or it may outsource them. In this case, a subcontracting contract is concluded with a logging operator in possession of a professional forestry accreditation.
For community forests, a logging certificate must be obtained annually by the community managing the forest.
Management concession scenario (operating agreements for State forests (UFAs) and partnership contracts for council forests under the UFA regime)
Within the framework of a UFA covered by an operating agreement or, for communal forests, under a partnership contract, the operator must obtain an annual operating permit, which is issued by the forest administration upon presentation of an annual operations plan, drawn up based on a harvesting inventory (Art. 71 of Decree n°95-531 and Art. 39 of Order n°222), as well as other supporting documents.
However, during the drawing of the forest management plan (maximum first 3 years), logging certificates are issued instead.
Vente de coupe permits (mainly within national forests, also possible within State, council and community forests)
Vente de coupe permits are awarded for a maximum of 3 years. They are non-renewable and cover a maximum of 2,500 hectares. 
Several types of forests may be exploited through the allocation of vente de coupe permits (Art. 57 et seq. and Art. 81 et seq. of Decree n°95-531). Vente de coupe permits are mainly created and awarded for national forests. Legally, State forests (UFAs) can be logged by way of a Vente de coupe permit, although this is not used anymore. Communities and councils may also choose to sell the standing wood in their community and council forests through vente de coupe permits.
Targeted areas within national forests are determined annually and listed in a vente de coupe planning document (DPV), which must be made publicly available. Communities benefit from rights of pre-emption over the forest resources and may request for a community forest to be established within the areas that the state plans to allocate under vente de coupe permits.
Vente de coupe permits are awarded by ministerial order following a tender procedure. The tender files are examined by an inter-ministerial committee, based on a set of criteria established by the regulations. 
Vente de coupe certificates must be issued at the start to the beneficiary of the vente de coupe permit by the forest administration, based on a file that the beneficiary must submit (inventory report, certificate of conformity of the inventory results, activity report for the year just ended, etc.). 
Vente de coupe permits are sometimes allocated within the framework of full forest conversion projects on a section of the state’s private domain. Such conversion operations must be performed prior to the implementation of the development project. These types of vente de coupe permits are awarded for varying durations. 
Timber exploitation permits (council forests, community forests, national forests)
The legislation also provides for the allocation of timber exploitation permits for artisanal processing. These permits are awarded upon presentation of a file by the applicant. The area covered by the permit is marked out and subjected to a prior inventory. The total volume of trees intended for sale cannot exceed 500 m3 (Art. 89 and 90 of Decree n°95-531).
Personal logging licences (council forests, community forests, national forests)
The Cameroonian legal framework also provides for personal logging licences intended to meet domestic needs, notably in terms of fire wood and construction wood, beyond the exercise of user rights (Art. 94 of Decree n°95-531).
SPECIFIC CASES
Private planted forests

The Forest Code established that wood in forests belonging to a private individual can be harvested by the owner or any person of their choice upon simple prior notification to the forest administration (Art. 97 of Decree n°95-531). However, it seems that in practice further steps are required by the forest administration (annual logging permits). There are still too few cases of harvesting in private planted forests and the legal framework concerning the required harvesting permit is likely to evolve.
Logging permits for special forest products 
The regulations enable the administration to establish a list of special forest products that require a special permit. Ebony is one of these. 
Harvested timber removal licences 
Harvested timber removal licences (autorisation d’enlèvement du bois, AEB) may be granted when the wood has already been cut (abandoned, stranded or confiscated) (Art. 73 of Law n°94-01 and Art. 112 and 113 of Decree n°95-531). 
AEBs can be issued for any kind of forest in either the permanent or non-permanent domain. These licences are subject to a report of the volumes concerned. They are issued following a tender procedure. 
In practice, these authorisations are no longer granted to any great extent.
Salvage licences
Salvage licences (autorisation de récupération du bois, ARB) may be allocated within the national forest domain for the purpose of selling standing wood that needs to be felled for other reasons (development project, clearing of an evacuation route) (Art. 73 of Law n°94/01 and Art. 110 and 111 of Decree n°95-531). 
These licences are subject to an inventory of the volumes concerned. They are issued following a tender procedure by the inter-ministerial committee for title allocations.
In practice, these authorisations are no longer granted to any great extent.
Auctions
Cameroonian law permits wood that has been harvested illegally to be put into circulation on the market. Cameroonian criminal law provides for the seizure and confiscation of all wood that has been subjected to illegal practices detected by the relevant authorities. Following confiscation by the administration, the wood may be sold at auction to the highest bidder. This practice may account a significant volume or wood, which may make its way onto the international market. The highest bidder must also submit a file to the Ministry of Forests.  
 
Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0315 / MINEF of 9 April 2011 establishing the pre-selection criteria and selection processes for logging title bidders, 2011.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.4 Harvesting permits
Last updated on 2021-12-15 Permits are exploited beyond the regulatory period, particularly for vente de coupe permits that have a strict regulatory 3-year limit Specified RISK
Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);For Sta... VIEW MORE

Unauthorised harvesting is carried out, either outside of an area designated for logging purposes, or within a forest but by an entity other than the beneficiary. Although these practices are performed by very small informal entities, they are recurring and highly likely to end up being integrated into the formal system, or even into the export system with the global market. (Chatham House, 2015, SNOIE n°2-2016 to 12-2020, CED-EIA, 2020);

For State forests (UFAs under an operating agreement) and communal forests under the UFA regime (with a partnership contract): 

•   Annual logging operations are commenced before the annual operating permit has been issued (Expert consultation, 2019);

For all source types logged by way of a Vente de coupe permit, or timber exploitation permit, or personal logging licence or another title / authorisation:

•   Permits/authorisations are issued or supporting documents are submitted prior to the permit/authorisation being issued in breach of the allocation procedure;

o   Titles are awarded by non-authorised authorities. As a consequence, said titles do not appear on the list of valid titles kept by the Ministry of Forests (Chatham House, 2015);

o   No tender procedure is implemented (IM/AGRECO-CEW, 2010);

o   The composition of the committee for title allocations is non-compliant (absence of representatives from the required ministries, regional rather than national meetings) (Expert consultation, 2019);

o   Irregularities are detected on the part of the inter-ministerial committee for title allocations: inconsistent qualification of bidders, acceptance of additional documents after the deadline, conflicts of interest amongst committee members, lack of transparency or circulation of invitation to tender, unclear invitation to tender, etc. (CONAC, 2012);

o   No effective checks that harvesting inventories have been properly carried out on the ground are conducted (permits may be issued without the inventory works provided for having been conducted (IM/AGRECO-CEW, 2012);

o   Corruption (IM-FLEG/REM, 2009, CONAC, 2012, Kamkuimo, 2013);

•   The title borders are not clearly delineated or the title is unlawfully relocated by the forest administration (IM/AGRECO-CEW, 2010);

•   No annual logging certificate / Vente de coupe certificate exists or logging operations are commenced before the certificate is issued (SNOIE, n°5-2019, n°8-2020);

•   Logging is conducted by an operator that is not in possession of a professional forestry accreditation (e.g. See SNOIE, n°11-2020);

•   The specifications for logging (or the development project if applicable) are not respected (IM-FLEG/REM, 2009), with no consequences on the renewal of the existing permit or allocation of a new permit;

•   Vente de coupe pour projet de développement permits, AEBs and ARBs are used fraudulently (for example, where the development project is never actually implemented, or where an AEB issued to evacuate logs left on an old vente de coupe permit area is used to conduct new felling operations) (IM--FLEG/REM, 2006 and 2009);

•   Standard vente de coupe permits are exploited beyond the regulatory 3-year period/annual permits are issued beyond the initial validity period of the title, particularly for vente de coupe permits that have a strict regulatory 3-year limit (Expert consultation, 2019).

For auctions: 

•   Very high risk of deliberate laundering of illegally harvested wood and corruption (Chatham House, 2015). Note: any wood originating from harvesting operations proven to be illegal that is then sold at auction might never reach compliance with legality regulations (such as the European Union Timber Regulation), despite the legal framework enabling it to be sold in Cameroon.

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Title specifications
Compare the title attribution date with dates recorded on site log books and waybills
Description of legal requirements
Logging activities within a Vente de coupe shall not exceed the regulatory 3-year period.
VIEW MORE
Direct harvesting scenario (State, council and community forests)
The harvesting of State, council and community forests can be carried out directly: the State/council/community administration can either conduct the logging activities itself or it may outsource them. In this case, a subcontracting contract is concluded with a logging operator in possession of a professional forestry accreditation.
For community forests, a logging certificate must be obtained annually by the community managing the forest.
Management concession scenario (operating agreements for State forests (UFAs) and partnership contracts for council forests under the UFA regime)
Within the framework of a UFA covered by an operating agreement or, for communal forests, under a partnership contract, the operator must obtain an annual operating permit, which is issued by the forest administration upon presentation of an annual operations plan, drawn up based on a harvesting inventory (Art. 71 of Decree n°95-531 and Art. 39 of Order n°222), as well as other supporting documents.
However, during the drawing of the forest management plan (maximum first 3 years), logging certificates are issued instead.
Vente de coupe permits (mainly within national forests, also possible within State, council and community forests)
Vente de coupe permits are awarded for a maximum of 3 years. They are non-renewable and cover a maximum of 2,500 hectares. 
Several types of forests may be exploited through the allocation of vente de coupe permits (Art. 57 et seq. and Art. 81 et seq. of Decree n°95-531). Vente de coupe permits are mainly created and awarded for national forests. Legally, State forests (UFAs) can be logged by way of a Vente de coupe permit, although this is not used anymore. Communities and councils may also choose to sell the standing wood in their community and council forests through vente de coupe permits.
Targeted areas within national forests are determined annually and listed in a vente de coupe planning document (DPV), which must be made publicly available. Communities benefit from rights of pre-emption over the forest resources and may request for a community forest to be established within the areas that the state plans to allocate under vente de coupe permits.
Vente de coupe permits are awarded by ministerial order following a tender procedure. The tender files are examined by an inter-ministerial committee, based on a set of criteria established by the regulations. 
Vente de coupe certificates must be issued at the start to the beneficiary of the vente de coupe permit by the forest administration, based on a file that the beneficiary must submit (inventory report, certificate of conformity of the inventory results, activity report for the year just ended, etc.). 
Vente de coupe permits are sometimes allocated within the framework of full forest conversion projects on a section of the state’s private domain. Such conversion operations must be performed prior to the implementation of the development project. These types of vente de coupe permits are awarded for varying durations. 
Timber exploitation permits (council forests, community forests, national forests)
The legislation also provides for the allocation of timber exploitation permits for artisanal processing. These permits are awarded upon presentation of a file by the applicant. The area covered by the permit is marked out and subjected to a prior inventory. The total volume of trees intended for sale cannot exceed 500 m3 (Art. 89 and 90 of Decree n°95-531).
Personal logging licences (council forests, community forests, national forests)
The Cameroonian legal framework also provides for personal logging licences intended to meet domestic needs, notably in terms of fire wood and construction wood, beyond the exercise of user rights (Art. 94 of Decree n°95-531).
SPECIFIC CASES
Private planted forests

The Forest Code established that wood in forests belonging to a private individual can be harvested by the owner or any person of their choice upon simple prior notification to the forest administration (Art. 97 of Decree n°95-531). However, it seems that in practice further steps are required by the forest administration (annual logging permits). There are still too few cases of harvesting in private planted forests and the legal framework concerning the required harvesting permit is likely to evolve.
Logging permits for special forest products 
The regulations enable the administration to establish a list of special forest products that require a special permit. Ebony is one of these. 
Harvested timber removal licences 
Harvested timber removal licences (autorisation d’enlèvement du bois, AEB) may be granted when the wood has already been cut (abandoned, stranded or confiscated) (Art. 73 of Law n°94-01 and Art. 112 and 113 of Decree n°95-531). 
AEBs can be issued for any kind of forest in either the permanent or non-permanent domain. These licences are subject to a report of the volumes concerned. They are issued following a tender procedure. 
In practice, these authorisations are no longer granted to any great extent.
Salvage licences
Salvage licences (autorisation de récupération du bois, ARB) may be allocated within the national forest domain for the purpose of selling standing wood that needs to be felled for other reasons (development project, clearing of an evacuation route) (Art. 73 of Law n°94/01 and Art. 110 and 111 of Decree n°95-531). 
These licences are subject to an inventory of the volumes concerned. They are issued following a tender procedure by the inter-ministerial committee for title allocations.
In practice, these authorisations are no longer granted to any great extent.
Auctions
Cameroonian law permits wood that has been harvested illegally to be put into circulation on the market. Cameroonian criminal law provides for the seizure and confiscation of all wood that has been subjected to illegal practices detected by the relevant authorities. Following confiscation by the administration, the wood may be sold at auction to the highest bidder. This practice may account a significant volume or wood, which may make its way onto the international market. The highest bidder must also submit a file to the Ministry of Forests.  
 
Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0315 / MINEF of 9 April 2011 establishing the pre-selection criteria and selection processes for logging title bidders, 2011.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.5 Payment of royalties and harvesting fees
Last updated on 2021-12-15 False guarantees are produced when submitting tender files Specified RISK
Applicants produce false guarantees when submitting tender files for operating agreements and vente de coupe permits (Mahongol et al., 2016).The above-mentioned potential for illegality is facilitated by corruption amongst the staff responsible for collecting taxes and verifying payment.... VIEW MORE

Applicants produce false guarantees when submitting tender files for operating agreements and vente de coupe permits (Mahongol et al., 2016).

The above-mentioned potential for illegality is facilitated by corruption amongst the staff responsible for collecting taxes and verifying payment.

References
VIEW LESS
The risk applies to the following source types
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Bank guarantee certificate of deposit
Description of legal requirements
Guarantees submitted with tender files shall be authentic
VIEW MORE

Upon receipt of a notification that an operating agreement or a vente de coupe permit has been awarded, all beneficiaries must submit a bank guarantee (security deposit) to the tax administration. The purpose of this guarantee is to ensure that all taxes and fees are paid and to prevent the title from being abandoned. It must be equal to or greater than the Annual Forestry Royalty (RFA). 

The harvesting fees and other taxes and charges imposed on logging operators are as follows (Art. 66, 67 and 68 of Law n°95/001):

  • The Annual Forestry Royalty (Redevance Forestière Annuelle, RFA): this is an annual tax based on the area of the forest titles (UFA and vente de coupe permit), paid by the logging operator in possession of the title (Art. 66 of Law n°094/01 and Art. 58, 59 and 64 of Decree n°95-531). The RFA amount is the sum of a base rate plus the financial offer proposed by the logging operator during the tender procedure.
  • Felling tax (taxe d’abattage, TA): this tax is the main charge provided for by law and is paid for each tree felled. Felling tax is calculated based on the FOB (“free on board”) value of logs harvested under logging titles of any sort, including council and community forests. The rate is fixed annually by the Tax Code. In 2019 it increased to 4% (Article 242 of the 2019 Tax Code). The loggers themselves are responsible for declaring the volume of felled timber based on their site log books (DF10 forms) and therefore the amount of tax due.
  • Regeneration tax: this is applicable to non-wood forest products and special products, including ebony (Diospyroscrassiflora hier), and is calculated based on the total weight of the harvested products.
  • Transfer tax and abandonment tax: these taxes are due whenever a concessionaire decides to transfer a UFA that it owns to another logger or if it abandons its forest title. The applicable rates are established by the annual finance law.

It is important to note that annual logging certificates and permits must only be issued by the forest administration if proof of payment of all taxes and fees can be provided: such proof must be included in the permit application file.

The legislation also provides for export taxes and fees (see section 1.19) and contribution to the completion of social infrastructure (see section 1.13) (Art. 66-1 of Law n°95/01).

Only the sale price of forest products (Prix de Vente des Produits Forestiers) applies for salvage licenses (ARB) and harvested timber removal licences (AEB), timber exploitation permits and personal logging licences (artisanal processing and to meet domestic needs).

Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Decree n°99/370/PM of 19 March 1999 establishing the securitisation programme for forestry revenues, 1999.
  • General Tax Code.
  • Joint order n°076 MINATD/MINFI/MINFOF of 26 June 2012 laying down conditions for the planning, use and monitoring of the management of forest and wildlife revenue allocated to councils and local communities, 2012.
  • Law n°2009/019 of 15 December 2009 on the local tax system;, 2009.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
VIEW LESS
1.5 Payment of royalties and harvesting fees
Last updated on 2021-12-15 Felling tax is not paid within prescribed deadlines Specified RISK
Forestry taxes are not paid within prescribed deadlines. Companies export wood despite not being up to date with payment of forestry taxes related to harvesting (IM/REM, 2009, IM/AGRECO-CEW, 2013 (Annex, p.58), Chatham House, 2015). Lack of coordination between the forest and finance administrations reinforce this risk (monitoring of tax payments falls under the competency of the Ministry of Finance, which often does not have the necessary inform... VIEW MORE

Forestry taxes are not paid within prescribed deadlines. Companies export wood despite not being up to date with payment of forestry taxes related to harvesting (IM/REM, 2009, IM/AGRECO-CEW, 2013 (Annex, p.58), Chatham House, 2015). Lack of coordination between the forest and finance administrations reinforce this risk (monitoring of tax payments falls under the competency of the Ministry of Finance, which often does not have the necessary information from the forestry sector) (Expert consultation, 2019);

Fraudulent declarations are made on the wood transport documents with the aim of minimising the amount due for felling tax (IM/REM, 2009).

The above-mentioned potential for illegality is facilitated by corruption amongst the staff responsible for collecting taxes and verifying payment.

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Debt clearance certificate issued by the competent authorities
2
Verify Proof of payment

Proof of payment (quittance) of all forest taxes for the current and previous year:

Operating agreements and vente de coupe permits: RFA and felling tax, as well as transfer and abandonment tax if a transfer has taken place;

AEBs, ARBs, logging permits, personal logging licences: sale price.

Description of legal requirements
Felling taxes shall be paid within prescribed deadlines.
VIEW MORE

Upon receipt of a notification that an operating agreement or a vente de coupe permit has been awarded, all beneficiaries must submit a bank guarantee (security deposit) to the tax administration. The purpose of this guarantee is to ensure that all taxes and fees are paid and to prevent the title from being abandoned. It must be equal to or greater than the Annual Forestry Royalty (RFA). 

The harvesting fees and other taxes and charges imposed on logging operators are as follows (Art. 66, 67 and 68 of Law n°95/001):

  • The Annual Forestry Royalty (Redevance Forestière Annuelle, RFA): this is an annual tax based on the area of the forest titles (UFA and vente de coupe permit), paid by the logging operator in possession of the title (Art. 66 of Law n°094/01 and Art. 58, 59 and 64 of Decree n°95-531). The RFA amount is the sum of a base rate plus the financial offer proposed by the logging operator during the tender procedure.
  • Felling tax (taxe d’abattage, TA): this tax is the main charge provided for by law and is paid for each tree felled. Felling tax is calculated based on the FOB (“free on board”) value of logs harvested under logging titles of any sort, including council and community forests. The rate is fixed annually by the Tax Code. In 2019 it increased to 4% (Article 242 of the 2019 Tax Code). The loggers themselves are responsible for declaring the volume of felled timber based on their site log books (DF10 forms) and therefore the amount of tax due.
  • Regeneration tax: this is applicable to non-wood forest products and special products, including ebony (Diospyroscrassiflora hier), and is calculated based on the total weight of the harvested products.
  • Transfer tax and abandonment tax: these taxes are due whenever a concessionaire decides to transfer a UFA that it owns to another logger or if it abandons its forest title. The applicable rates are established by the annual finance law.

It is important to note that annual logging certificates and permits must only be issued by the forest administration if proof of payment of all taxes and fees can be provided: such proof must be included in the permit application file.

The legislation also provides for export taxes and fees (see section 1.19) and contribution to the completion of social infrastructure (see section 1.13) (Art. 66-1 of Law n°95/01).

Only the sale price of forest products (Prix de Vente des Produits Forestiers) applies for salvage licenses (ARB) and harvested timber removal licences (AEB), timber exploitation permits and personal logging licences (artisanal processing and to meet domestic needs).

Applicable legislation
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Decree n°99/370/PM of 19 March 1999 establishing the securitisation programme for forestry revenues, 1999.
  • General Tax Code.
  • Joint order n°076 MINATD/MINFI/MINFOF of 26 June 2012 laying down conditions for the planning, use and monitoring of the management of forest and wildlife revenue allocated to councils and local communities, 2012.
  • Law n°2009/019 of 15 December 2009 on the local tax system;, 2009.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
VIEW LESS
1.6 Value-added taxes and other sales taxes
Last updated on 2021-12-15 Transactions do not comply with trade regulations Specified RISK
There is little information available on payment of VAT and withholding tax on wood purchases in the forestry sector. It is common for some transactions do not comply with trade regulations (exchanging wood for equipment or services, no invoices with cash payments, etc.) (Expert consultation, 2019).It would also appear that the state is significantly behind with payment of VAT reimbursements owed to exporters (MEF, 2006). ... VIEW MOREThere is little information available on payment of VAT and withholding tax on wood purchases in the forestry sector. It is common for some transactions do not comply with trade regulations (exchanging wood for equipment or services, no invoices with cash payments, etc.) (Expert consultation, 2019).
It would also appear that the state is significantly behind with payment of VAT reimbursements owed to exporters (MEF, 2006).
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Invoices from the supply chain

Check that VAT is included and that withholding tax on wood purchases is included for logs and sawn timber.

2
Verify Debt clearance certificate issued by the tax authorities.
Description of legal requirements
Wood transactions shall comply with trade regulations
VIEW MORE
VAT in Cameroon is fixed at a rate of 19.25% and applies to the delivery of all goods. However, wood exports are exempt from VAT.
The legislation requires all entities other than the logging operator to pay a withholding tax on wood purchases in the form of logs or sawn timber (the logging operator is responsible for paying the felling tax, see previous section) (Art. 3 of Decree n°2001/1034). This withholding tax on wood purchases is fixed at 5% and is calculated based on the relevant invoices. It is covered by the purchaser of the wood (logs or sawn timber).
 
Applicable legislation
  • Annual finance laws.
  • Decree n°2001/1034/PM of 27 November 2001 establishing the tax base rules and methods for collecting and monitoring fees, charges and taxes related to forestry activities, 2001.
  • General Tax Code.
VIEW LESS
1.7 Income and profit taxes
Last updated on 2021-12-15 Fraudulent declarations are made regarding income and profits to reduce the amount of taxes payable Specified RISK
Fraudulent information is declared on companies’ income and profit statements with the aim of reducing the amount of tax due. Some companies make false declarations regarding the actual value of the transactions completed on their annual balance sheet. The representatives in charge of carrying out the tax inspections are sometimes complicit in this (Expert consultation, 2019).... VIEW MORE

Fraudulent information is declared on companies’ income and profit statements with the aim of reducing the amount of tax due. Some companies make false declarations regarding the actual value of the transactions completed on their annual balance sheet. The representatives in charge of carrying out the tax inspections are sometimes complicit in this (Expert consultation, 2019).

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationStakeholder consultation
1
Verify Receipt of payment of corporate income tax
If possible, also check the logging company or processing company’s balance sheet
2
Consult Directorate General of Taxes

Obtain confirmation that all taxes on income and profits have been paid.

Description of legal requirements
Declarations on income and profits shall be authentic
VIEW MORE
There are two corporate taxation regimes in Cameroon: one regime applied to actual earnings and one simplified regime.
A company’s taxable income is the total of all transactions performed during the financial year, whatever the nature thereof, minus any expenses directly entailed by the exercise of its harvesting activities. Some expenses are non-deductible by law and must be integrated into the company’s accounting profit. Some income is not taxable and must be deducted from the accounting profit.
Only revenue generated by companies operating on a continuous basis in Cameroon is taxable. Their activities must be carried out within the framework of an establishment or via a representative whose professional profile is indistinguishable from that of the company.
 
Applicable legislation
VIEW LESS
1.8 Timber harvesting regulations
Last updated on 2021-12-15 Species that are banned under the provisions of management and operating documents are harvested Specified RISK
Due to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.In general, the series of reports drawn up by the Independent Monitors observe the following:Non-compliance with technical standards;Non-compliance with the clauses of the specifications;Non-compliance wi... VIEW MORE

Due to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.

In general, the series of reports drawn up by the Independent Monitors observe the following:

  • Non-compliance with technical standards;
  • Non-compliance with the clauses of the specifications;
  • Non-compliance with the provisions of the forest management plan.

The specified risks of illegality are that species that are banned under the provisions of the management documents (forest management plan and simplified management programme) are harvested (also see section 1.9) (SNOIE/FODER, 2016, SNOIE, n°7-2019, n°11-2020); 

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Forest management plan (if applicable)

Check that any felled species is indeed allowed to log.

Check either the Forest manangement plan or the Simplified managment programme, depending on which is required for the relevant source type

2
Verify Simplified management programme (if applicable)

Check that any felled species is indeed provided for logging.

Check either the Forest manangement plan or the Simplified managment programme, depending on which is required for the relevant source type

3
Verify Annual operating permit (if applicable)

Check that any felled species is indeed provided for logging.

The valid annual operating permit; the logging certificate or the Vente de coupe certificate shall be verified, depending on which document is applicable for the relevant source type,

4
Verify Vente de coupe certificate (if applicable)

Check that any felled species is indeed provided for logging.

The valid annual operating permit; the logging certificate or the Vente de coupe certificate shall be verified, depending on which document is applicable for the relevant source type.

Description of legal requirements
Species not provided for logging shall not be felled
VIEW MORE
A number of provisions relating to timber harvesting will be included in the document specific to the logging title. Depending on the specific case, this document will either be an agreement and its specifications, a forest management plan and/or a logging permit (annual operating permit or annual logging certificate). The information notably relates to the minimum diameters, species, number of trees and/or volumes to be harvested, etc. 
A detailed set of rules for operating within forest areas have also been adopted by ministerial decision and apply to all logging operators. They notably stipulate the rules on the protection of rivers and running water, wildlife, the construction of forest roads, the construction of bridges, the creation of log yards and applicable felling and skidding techniques.
In particular, only trees marked during the harvesting inventory can be harvested. The skidding techniques used must minimise loss and damage. All logs originating from a felled tree must be recorded in the site log book. 
 
Applicable legislation
  • Decision n°0108/D/MINEF/CAB of 9 February 1998 laying down the application of rules for operating in forest areas in the Republic of Cameroon, 1998.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.8 Timber harvesting regulations
Last updated on 2021-12-15 The number of trees and volumes authorised by the permit / authorisation is exceeded Specified RISK
Due to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.In general, the series of reports drawn up by the Independent Monitors observe the following:Non-compliance with technical standards;Non-compliance with the clauses of the specifications;Non-compliance wi... VIEW MORE

Due to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.

In general, the series of reports drawn up by the Independent Monitors observe the following:

  • Non-compliance with technical standards;
  • Non-compliance with the clauses of the specifications;
  • Non-compliance with the provisions of the forest management plan.

The specified risks of illegality are notably that the number of trees and volumes authorised by the permit / authorisation is exceeded (MEF, 2006, Chatham House, 2015)

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Site log books
Cross-check the volumes on the site log books and/or waybills with the volumes authorised by the current annual operating permit or Vente de coupe certificate or logging certificate or the applicable title/authorisation
2
Verify Waybill
Cross-check the volumes on the site log books and/or waybills with the volumes authorised by the current annual operating permit or Vente de coupe certificate or logging certificate or the applicable title/authorisation
Description of legal requirements
The authorised number of trees and / or volume sall be complied with
VIEW MORE
A number of provisions relating to timber harvesting will be included in the document specific to the logging title. Depending on the specific case, this document will either be an agreement and its specifications, a forest management plan and/or a logging permit (annual operating permit or annual logging certificate). The information notably relates to the minimum diameters, species, number of trees and/or volumes to be harvested, etc. 
A detailed set of rules for operating within forest areas have also been adopted by ministerial decision and apply to all logging operators. They notably stipulate the rules on the protection of rivers and running water, wildlife, the construction of forest roads, the construction of bridges, the creation of log yards and applicable felling and skidding techniques.
In particular, only trees marked during the harvesting inventory can be harvested. The skidding techniques used must minimise loss and damage. All logs originating from a felled tree must be recorded in the site log book. 
Applicable legislation
  • Decision n°0108/D/MINEF/CAB of 9 February 1998 laying down the application of rules for operating in forest areas in the Republic of Cameroon, 1998.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.8 Timber harvesting regulations
Last updated on 2021-12-15 Minimum diameters are not respected (DME and DMA) Specified RISK
Due to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.In general, the series of reports drawn up by the Independent Monitors observe the following:•   Non-compliance with technical standards;•   Non-compliance with the clauses of the specifications... VIEW MORE

Due to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.

In general, the series of reports drawn up by the Independent Monitors observe the following:

•   Non-compliance with technical standards;

•   Non-compliance with the clauses of the specifications;

•   Non-compliance with the provisions of the forest management plan.

The specified risks of illegality are notably that:

•   Species that are banned under the provisions of the management documents (forest management plan and simplified management programme) are harvested (also see section 1.9) (SNOIE/FODER, 2016, SNOIE, n°7-2019, n°11-2020); 

•   The number of trees and volumes authorised by the permit / authorisation is exceeded (MEF, 2006, Chatham House, 2015);

•   Minimum diameters are not respected (DME and DMA) (IM/AGRECO-CEW, n°1-2010, 2021, SNOIE/FODER, 2016);

•   Species are harvested outside of the defined areas (annual allowable cuts for State forests (UFAs) and council forests, annual plots for community forests, and logging perimeters for Vente de coupe permits and other permits / authorisations) (IM/AGRECO-CEW, 2010, IM-FLEG/REM, 2009, MEF, 2006, SNOIE/FODER, 2016, SNOIE, n°1-2016, 2018, n°4-2019, n°5-2019 and n°12-2020);

•   The applicable rules for marking stumps, logs and blocks are not complied with (IM/AGRECO-CEW, 2012, SNOIE/FODER, 2016, SNOIE, n°4-2019, n°5-2019, n°9-2020, n°11-2021);

•   The applicable rules for operating in forest areas regarding skidding, the construction of roads and infrastructure, and the creation of log yards, etc. are not complied with (SNOIE/FODER, 2016); 

•   Wood is irregularly abandoned (IM/AGRECO-CEW, n°1-2010);

•   The information kept in the site documents does not comply with the regulations or is false (IM/AGRECO-CEW, n°5-2012).

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Field verification
1
Visit Harvesting site to check that the prescribed minimum diameters are respected in relation to the stumps and / or the information on the site log books / waybills.
Description of legal requirements
Minimum diameters shall be respected
VIEW MORE
A number of provisions relating to timber harvesting will be included in the document specific to the logging title. Depending on the specific case, this document will either be an agreement and its specifications, a forest management plan and/or a logging permit (annual operating permit or annual logging certificate). The information notably relates to the minimum diameters, species, number of trees and/or volumes to be harvested, etc. 
A detailed set of rules for operating within forest areas have also been adopted by ministerial decision and apply to all logging operators. They notably stipulate the rules on the protection of rivers and running water, wildlife, the construction of forest roads, the construction of bridges, the creation of log yards and applicable felling and skidding techniques.
In particular, only trees marked during the harvesting inventory can be harvested. The skidding techniques used must minimise loss and damage. All logs originating from a felled tree must be recorded in the site log book. 
 
Applicable legislation
  • Decision n°0108/D/MINEF/CAB of 9 February 1998 laying down the application of rules for operating in forest areas in the Republic of Cameroon, 1998.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.8 Timber harvesting regulations
Last updated on 2021-12-15 Species are harvested outside of the defined areas Specified RISK
Due to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.In general, the series of reports drawn up by the Independent Monitors observe the following:•   Non-compliance with technical standards;•   Non-compliance with the clauses of the specifications... VIEW MORE

Due to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.

In general, the series of reports drawn up by the Independent Monitors observe the following:

•   Non-compliance with technical standards;

•   Non-compliance with the clauses of the specifications;

•   Non-compliance with the provisions of the forest management plan.

The specified risks of illegality are notably that:

•   Species that are banned under the provisions of the management documents (forest management plan and simplified management programme) are harvested (also see section 1.9) (SNOIE/FODER, 2016, SNOIE, n°7-2019, n°11-2020); 

•   The number of trees and volumes authorised by the permit / authorisation is exceeded (MEF, 2006, Chatham House, 2015);

•   Minimum diameters are not respected (DME and DMA) (IM/AGRECO-CEW, n°1-2010, 2021, SNOIE/FODER, 2016);

•   Species are harvested outside of the defined areas (annual allowable cuts for State forests (UFAs) and council forests, annual plots for community forests, and logging perimeters for Vente de coupe permits and other permits / authorisations) (IM/AGRECO-CEW, 2010, IM-FLEG/REM, 2009, MEF, 2006, SNOIE/FODER, 2016, SNOIE, n°1-2016, 2018, n°4-2019, n°5-2019 and n°12-2020);

•   The applicable rules for marking stumps, logs and blocks are not complied with (IM/AGRECO-CEW, 2012, SNOIE/FODER, 2016, SNOIE, n°4-2019, n°5-2019, n°9-2020, n°11-2021);

•   The applicable rules for operating in forest areas regarding skidding, the construction of roads and infrastructure, and the creation of log yards, etc. are not complied with (SNOIE/FODER, 2016); 

•   Wood is irregularly abandoned (IM/AGRECO-CEW, n°1-2010);

•   The information kept in the site documents does not comply with the regulations or is false (IM/AGRECO-CEW, n°5-2012).

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Field verification
1
Visit Harvesting site to check that the limits of the logging area are respected (annual allowable cuts for State forests (UFAs) and council forests, annual plots for community forests, and logging perimeters for Vente de coupe permits and other permits / authorisations).
Description of legal requirements
There shall be no logging activities outside the defined harvesting area.
VIEW MORE
A number of provisions relating to timber harvesting will be included in the document specific to the logging title. Depending on the specific case, this document will either be an agreement and its specifications, a forest management plan and/or a logging permit (annual operating permit or annual logging certificate). The information notably relates to the minimum diameters, species, number of trees and/or volumes to be harvested, etc. 
A detailed set of rules for operating within forest areas have also been adopted by ministerial decision and apply to all logging operators. They notably stipulate the rules on the protection of rivers and running water, wildlife, the construction of forest roads, the construction of bridges, the creation of log yards and applicable felling and skidding techniques.
In particular, only trees marked during the harvesting inventory can be harvested. The skidding techniques used must minimise loss and damage. All logs originating from a felled tree must be recorded in the site log book. 
 
Applicable legislation
  • Decision n°0108/D/MINEF/CAB of 9 February 1998 laying down the application of rules for operating in forest areas in the Republic of Cameroon, 1998.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.8 Timber harvesting regulations
Last updated on 2021-12-15 The applicable rules for marking stumps, logs and blocks are not complied with Specified RISK
Due to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.In general, the series of reports drawn up by the Independent Monitors observe the following:•    Non-compliance with technical standards;•    Non-compliance with the clauses of the specificatio... VIEW MOREDue to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.
In general, the series of reports drawn up by the Independent Monitors observe the following:
•    Non-compliance with technical standards;
•    Non-compliance with the clauses of the specifications;
•    Non-compliance with the provisions of the forest management plan.
The specified risks of illegality are notably that:
•    Species that are banned under the provisions of the management documents (forest management plan and simplified management programme) are harvested (also see section 1.9) (SNOIE/FODER, 2016, SNOIE, n°7-2019, n°11-2020); 
•    The number of trees and volumes authorised by the permit / authorisation is exceeded (MEF, 2006, Chatham House, 2015);
•    Minimum diameters are not respected (DME and DMA) (IM/AGRECO-CEW, n°1-2010, 2021, SNOIE/FODER, 2016);
•    Species are harvested outside of the defined areas (annual allowable cuts for State forests (UFAs) and council forests, annual plots for community forests, and logging perimeters for Vente de coupe permits and other permits / authorisations) (IM/AGRECO-CEW, 2010, IM-FLEG/REM, 2009, MEF, 2006, SNOIE/FODER, 2016, SNOIE, n°1-2016, 2018, n°4-2019, n°5-2019 and n°12-2020);
•    The applicable rules for marking stumps, logs and blocks are not complied with (IM/AGRECO-CEW, 2012, SNOIE/FODER, 2016, SNOIE, n°4-2019, n°5-2019, n°9-2020, n°11-2021);
•    The applicable rules for operating in forest areas regarding skidding, the construction of roads and infrastructure, and the creation of log yards, etc. are not complied with (SNOIE/FODER, 2016); 
•    Wood is irregularly abandoned (IM/AGRECO-CEW, n°1-2010);
•    The information kept in the site documents does not comply with the regulations or is false (IM/AGRECO-CEW, n°5-2012).
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Field verification
1
Visit Harvesting site

Check at the felling site and at the sawmill that the marking standards are met.

Description of legal requirements
The applicable rules for marking stumps, logs and blocks shall be complied with.
VIEW MORE
A number of provisions relating to timber harvesting will be included in the document specific to the logging title. Depending on the specific case, this document will either be an agreement and its specifications, a forest management plan and/or a logging permit (annual operating permit or annual logging certificate). The information notably relates to the minimum diameters, species, number of trees and/or volumes to be harvested, etc. 
A detailed set of rules for operating within forest areas have also been adopted by ministerial decision and apply to all logging operators. They notably stipulate the rules on the protection of rivers and running water, wildlife, the construction of forest roads, the construction of bridges, the creation of log yards and applicable felling and skidding techniques.
In particular, only trees marked during the harvesting inventory can be harvested. The skidding techniques used must minimise loss and damage. All logs originating from a felled tree must be recorded in the site log book. 
 
Applicable legislation
  • Decision n°0108/D/MINEF/CAB of 9 February 1998 laying down the application of rules for operating in forest areas in the Republic of Cameroon, 1998.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.8 Timber harvesting regulations
Last updated on 2021-12-15 The applicable rules for operating in forest areas regarding skidding, the construction of roads and infrastructure, and the creation of log yards, etc. are not complied with Specified RISK
Due to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.In general, the series of reports drawn up by the Independent Monitors observe the following:•   Non-compliance with technical standards;•   Non-compliance with the clauses of the specifications... VIEW MORE

Due to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.

In general, the series of reports drawn up by the Independent Monitors observe the following:

•   Non-compliance with technical standards;

•   Non-compliance with the clauses of the specifications;

•   Non-compliance with the provisions of the forest management plan.

The specified risks of illegality are notably that:

•   Species that are banned under the provisions of the management documents (forest management plan and simplified management programme) are harvested (also see section 1.9) (SNOIE/FODER, 2016, SNOIE, n°7-2019, n°11-2020); 

•   The number of trees and volumes authorised by the permit / authorisation is exceeded (MEF, 2006, Chatham House, 2015);

•   Minimum diameters are not respected (DME and DMA) (IM/AGRECO-CEW, n°1-2010, 2021, SNOIE/FODER, 2016);

•   Species are harvested outside of the defined areas (annual allowable cuts for State forests (UFAs) and council forests, annual plots for community forests, and logging perimeters for Vente de coupe permits and other permits / authorisations) (IM/AGRECO-CEW, 2010, IM-FLEG/REM, 2009, MEF, 2006, SNOIE/FODER, 2016, SNOIE, n°1-2016, 2018, n°4-2019, n°5-2019 and n°12-2020);

•   The applicable rules for marking stumps, logs and blocks are not complied with (IM/AGRECO-CEW, 2012, SNOIE/FODER, 2016, SNOIE, n°4-2019, n°5-2019, n°9-2020, n°11-2021);

•   The applicable rules for operating in forest areas regarding skidding, the construction of roads and infrastructure, and the creation of log yards, etc. are not complied with (SNOIE/FODER, 2016); 

•   Wood is irregularly abandoned (IM/AGRECO-CEW, n°1-2010);

•   The information kept in the site documents does not comply with the regulations or is false (IM/AGRECO-CEW, n°5-2012).

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Field verification
1
Visit Harvesting site

Check that skidding activities, the creation of log yards and the construction of infrastructure (bridges, roads) respect the standards in force.

Description of legal requirements
The rules for operating in forest areas regarding skidding, the construction of roads and infrastructure, and the creation of log yards, etc. shall be complied with.
VIEW MORE
A number of provisions relating to timber harvesting will be included in the document specific to the logging title. Depending on the specific case, this document will either be an agreement and its specifications, a forest management plan and/or a logging permit (annual operating permit or annual logging certificate). The information notably relates to the minimum diameters, species, number of trees and/or volumes to be harvested, etc. 
A detailed set of rules for operating within forest areas have also been adopted by ministerial decision and apply to all logging operators. They notably stipulate the rules on the protection of rivers and running water, wildlife, the construction of forest roads, the construction of bridges, the creation of log yards and applicable felling and skidding techniques.
In particular, only trees marked during the harvesting inventory can be harvested. The skidding techniques used must minimise loss and damage. All logs originating from a felled tree must be recorded in the site log book. 
 
Applicable legislation
  • Decision n°0108/D/MINEF/CAB of 9 February 1998 laying down the application of rules for operating in forest areas in the Republic of Cameroon, 1998.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.8 Timber harvesting regulations
Last updated on 2021-12-15 Wood is irregularly abandoned Specified RISK
Due to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.In general, the series of reports drawn up by the Independent Monitors observe the following:•   Non-compliance with technical standards;•   Non-compliance with the clauses of the specifications... VIEW MORE

Due to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.

In general, the series of reports drawn up by the Independent Monitors observe the following:

•   Non-compliance with technical standards;

•   Non-compliance with the clauses of the specifications;

•   Non-compliance with the provisions of the forest management plan.

The specified risks of illegality are notably that:

•   Species that are banned under the provisions of the management documents (forest management plan and simplified management programme) are harvested (also see section 1.9) (SNOIE/FODER, 2016, SNOIE, n°7-2019, n°11-2020); 

•   The number of trees and volumes authorised by the permit / authorisation is exceeded (MEF, 2006, Chatham House, 2015);

•   Minimum diameters are not respected (DME and DMA) (IM/AGRECO-CEW, n°1-2010, 2021, SNOIE/FODER, 2016);

•   Species are harvested outside of the defined areas (annual allowable cuts for State forests (UFAs) and council forests, annual plots for community forests, and logging perimeters for Vente de coupe permits and other permits / authorisations) (IM/AGRECO-CEW, 2010, IM-FLEG/REM, 2009, MEF, 2006, SNOIE/FODER, 2016, SNOIE, n°1-2016, 2018, n°4-2019, n°5-2019 and n°12-2020);

•   The applicable rules for marking stumps, logs and blocks are not complied with (IM/AGRECO-CEW, 2012, SNOIE/FODER, 2016, SNOIE, n°4-2019, n°5-2019, n°9-2020, n°11-2021);

•   The applicable rules for operating in forest areas regarding skidding, the construction of roads and infrastructure, and the creation of log yards, etc. are not complied with (SNOIE/FODER, 2016); 

•   Wood is irregularly abandoned (IM/AGRECO-CEW, n°1-2010);

•   The information kept in the site documents does not comply with the regulations or is false (IM/AGRECO-CEW, n°5-2012).

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Field verification
1
Visit Harvesting site

Check on the felling site that wood is not irregularly abandoned

Description of legal requirements
Wood shall not be irregularly abandoned.
VIEW MORE
A number of provisions relating to timber harvesting will be included in the document specific to the logging title. Depending on the specific case, this document will either be an agreement and its specifications, a forest management plan and/or a logging permit (annual operating permit or annual logging certificate). The information notably relates to the minimum diameters, species, number of trees and/or volumes to be harvested, etc. 
A detailed set of rules for operating within forest areas have also been adopted by ministerial decision and apply to all logging operators. They notably stipulate the rules on the protection of rivers and running water, wildlife, the construction of forest roads, the construction of bridges, the creation of log yards and applicable felling and skidding techniques.
In particular, only trees marked during the harvesting inventory can be harvested. The skidding techniques used must minimise loss and damage. All logs originating from a felled tree must be recorded in the site log book. 
 
Applicable legislation
  • Decision n°0108/D/MINEF/CAB of 9 February 1998 laying down the application of rules for operating in forest areas in the Republic of Cameroon, 1998.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.8 Timber harvesting regulations
Last updated on 2021-12-15 The information kept in the site documents does not comply with the regulations or is false Specified RISK
Due to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.In general, the series of reports drawn up by the Independent Monitors observe the following:•    Non-compliance with technical standards;•    Non-compliance with the clauses of the specificatio... VIEW MOREDue to a lack of technical and financial resources, administration officers do not carry out regular field checks of the loggers’ activities. This is coupled with corruption between the loggers and the administration officers during the checks.
In general, the series of reports drawn up by the Independent Monitors observe the following:
•    Non-compliance with technical standards;
•    Non-compliance with the clauses of the specifications;
•    Non-compliance with the provisions of the forest management plan.
The specified risks of illegality are notably that:
•    Species that are banned under the provisions of the management documents (forest management plan and simplified management programme) are harvested (also see section 1.9) (SNOIE/FODER, 2016, SNOIE, n°7-2019, n°11-2020); 
•    The number of trees and volumes authorised by the permit / authorisation is exceeded (MEF, 2006, Chatham House, 2015);
•    Minimum diameters are not respected (DME and DMA) (IM/AGRECO-CEW, n°1-2010, 2021, SNOIE/FODER, 2016);
•    Species are harvested outside of the defined areas (annual allowable cuts for State forests (UFAs) and council forests, annual plots for community forests, and logging perimeters for Vente de coupe permits and other permits / authorisations) (IM/AGRECO-CEW, 2010, IM-FLEG/REM, 2009, MEF, 2006, SNOIE/FODER, 2016, SNOIE, n°1-2016, 2018, n°4-2019, n°5-2019 and n°12-2020);
•    The applicable rules for marking stumps, logs and blocks are not complied with (IM/AGRECO-CEW, 2012, SNOIE/FODER, 2016, SNOIE, n°4-2019, n°5-2019, n°9-2020, n°11-2021);
•    The applicable rules for operating in forest areas regarding skidding, the construction of roads and infrastructure, and the creation of log yards, etc. are not complied with (SNOIE/FODER, 2016); 
•    Wood is irregularly abandoned (IM/AGRECO-CEW, n°1-2010);
•    The information kept in the site documents does not comply with the regulations or is false (IM/AGRECO-CEW, n°5-2012).
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Site log books

Check their good standing

Description of legal requirements
Site log books shall be kept following standards.
VIEW MORE
A number of provisions relating to timber harvesting will be included in the document specific to the logging title. Depending on the specific case, this document will either be an agreement and its specifications, a forest management plan and/or a logging permit (annual operating permit or annual logging certificate). The information notably relates to the minimum diameters, species, number of trees and/or volumes to be harvested, etc. 
A detailed set of rules for operating within forest areas have also been adopted by ministerial decision and apply to all logging operators. They notably stipulate the rules on the protection of rivers and running water, wildlife, the construction of forest roads, the construction of bridges, the creation of log yards and applicable felling and skidding techniques.
In particular, only trees marked during the harvesting inventory can be harvested. The skidding techniques used must minimise loss and damage. All logs originating from a felled tree must be recorded in the site log book. 
 
Applicable legislation
  • Decision n°0108/D/MINEF/CAB of 9 February 1998 laying down the application of rules for operating in forest areas in the Republic of Cameroon, 1998.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Harvesting inventory standards, May 1995., 2019.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.9 Protected sites and species
Last updated on 2021-12-15 The areas and species to be protected are not identified during the management phase Specified RISK
Some forest management companies do indeed take into account the sites and values that are important to neighbouring communities (Asseng Zé, 2008), particularly when preparing their forest management plans. In fact, some areas are established as conservation areas in the forest management plans for UFAs covered by an operating agreement. Companies involved in forest certification schemes are generally more attentive to the sites and species that... VIEW MORESome forest management companies do indeed take into account the sites and values that are important to neighbouring communities (Asseng Zé, 2008), particularly when preparing their forest management plans. In fact, some areas are established as conservation areas in the forest management plans for UFAs covered by an operating agreement. Companies involved in forest certification schemes are generally more attentive to the sites and species that should be protected, as they are often obliged to conduct high conservation value assessments.
However, there are no specific criteria validated by the administration that can be used to identify which sites and species should be protected. There is therefore a risk that some sites or species that should be protected are not correctly identified during the forest management plan preparation phase. A study confirms the low degree of consideration given to biodiversity, wildlife and community interests in 20 forest management plans in Cameroon (Vandenhaute et al., 2006). 
For example, regarding species, companies often only evaluate the harvestable wood species when drawing up their forest management plans and fail to identify the cultural values of other species. Other factors such as non-wood forest products, wildlife and sites of cultural interest to communities are also given insufficient consideration (Expert consultation, 2019). 
There is also a risk that wood located in protection or research series within UFAs is harvested outside of any management provisions under the guise of experimental and research arrangements (Expert consultation, 2019).
Failure to identify and preserve species and sites that should be protected as per the rules for operating in forest areas is also present in the non-permanent forest domain (mainly vente de coupe permits), all the more since they are not managed forests (Expert consultation, 2019).
Finally, there is a risk that wood is illegally felled in national parks or wildlife reserves and ends up being laundered and reintegrated into the formal system for export, covered up with false markings and falsified transport documents (CED-EIA, 2020) 
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationField verificationStakeholder consultation
1
Verify Forest management plan and its approval notice

Depending on cases and if applicable, the forest management plan or the simplified management programme.

Check the presence of protection/conservation/research areas within the forest and/or species to be protected (list of species excluded from logging).

For harvesting in conservation or research areas, if applicable: obtain the documents/protocols/data relating to the research in the forest areas.

For forest not under a forest management plan or simplified management programme, any document attesting to the prior identification of sites / species to be protected.

2
Visit Harvesting site
Check that no harvesting is taking place in protection/conservation/research areas
3
Consult Local and neighbouring communities
Consult to verify that there is no conflict around harvesting on or of sacred/protected sites and species
4
Consult Independent monitor
Consult to verify that there is no conflict around harvesting on or of sacred/protected sites and species
5
Consult Civil society organisations (WWF, FODER, RELUFA, CED, etc.)
Consult to verify that there is no conflict around harvesting on or of sacred/protected sites and species
Description of legal requirements
Areas and species to be protected shall be identified during the management phase.
VIEW MORE
Protected areas can be classified into three categories based on size (1, 2 and 3) and four categories based on type (national parks (19 existing), wildlife reserves (7), wildlife sanctuaries (5) and zoos). The decree classifying the protected area specifies its primary purpose. Generally speaking, timber harvesting is not provided for in protected areas (logging may potentially be considered for scientific purposes).
Regarding forest titles (UFAs, vente de coupe permits, community forests), loggers must comply with the rules for operating within forest areas. These standards stipulate that logging operators must identify and protect sacred trees, fruit trees or trees used by the population for the harvesting of seeds, and areas that are particularly valuable to the inhabitants.
Furthermore, harvesting is prohibited on sites with a gradient greater than 50% or that border watercourses or water bodies.
Regarding UFAs and council forests, the forest management plan determines the management rules to be implemented within the specified time and space, in line with the existing biodiversity and its habitat. During the micro-zoning process, in line with the area’s wealth of biodiversity and specific environmental characteristics, protected sites and habitats may be identified within the concession (bays, corridors, steep inclines, water sources, etc.). These areas are often found in protection series and conservation series. For example, Moabi trees are protected in Lomié for Pygmy communities, as are certain caves, watercourses and hills, due to their importance as places of religious rites.
The conservation of certain species may also be provided for in the forest management plan, either because of their international status (CITES species, species on the IUCN Red List) or because they are observed as being particularly rare during the management inventory.
Applicable legislation
  • Decision n°0108/D/MINEF/CAB of 9 February 1998 laying down the application of rules for operating in forest areas in the Republic of Cameroon, 1998.
  • Decree n°95/466/PM of 20 July 1995 establishing the modalities for implementing the wildlife regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
VIEW LESS
1.9 Protected sites and species
Last updated on 2021-12-15 Harvesting is conducted in protected areas Specified RISK
Some forest management companies do indeed take into account the sites and values that are important to neighbouring communities (Asseng Zé, 2008), particularly when preparing their forest management plans. In fact, some areas are established as conservation areas in the forest management plans for UFAs covered by an operating agreement. Companies involved in forest certification schemes are generally more attentive to the sites and species that... VIEW MORESome forest management companies do indeed take into account the sites and values that are important to neighbouring communities (Asseng Zé, 2008), particularly when preparing their forest management plans. In fact, some areas are established as conservation areas in the forest management plans for UFAs covered by an operating agreement. Companies involved in forest certification schemes are generally more attentive to the sites and species that should be protected, as they are often obliged to conduct high conservation value assessments.
However, there are no specific criteria validated by the administration that can be used to identify which sites and species should be protected. There is therefore a risk that some sites or species that should be protected are not correctly identified during the forest management plan preparation phase. A study confirms the low degree of consideration given to biodiversity, wildlife and community interests in 20 forest management plans in Cameroon (Vandenhaute et al., 2006). 
For example, regarding species, companies often only evaluate the harvestable wood species when drawing up their forest management plans and fail to identify the cultural values of other species. Other factors such as non-wood forest products, wildlife and sites of cultural interest to communities are also given insufficient consideration (Expert consultation, 2019). 
There is also a risk that wood located in protection or research series within UFAs is harvested outside of any management provisions under the guise of experimental and research arrangements (Expert consultation, 2019).
Failure to identify and preserve species and sites that should be protected as per the rules for operating in forest areas is also present in the non-permanent forest domain (mainly vente de coupe permits), all the more since they are not managed forests (Expert consultation, 2019).
Finally, there is a risk that wood is illegally felled in national parks or wildlife reserves and ends up being laundered and reintegrated into the formal system for export, covered up with false markings and falsified transport documents (CED-EIA, 2020) 
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationField verificationStakeholder consultation
1
Verify Forest management plan and its approval notice

Check the presence of protection/conservation/research areas within the forest and/or species to be protected (list of species excluded from logging).

For harvesting in conservation or research areas, if applicable: obtain the documents/protocols/data relating to the research in the forest areas.

For forest not under a forest management plan or simplified management programme, any document attesting to the prior identification of sites / species to be protected

2
Visit Harvesting site
Check that no harvesting is taking place in protection/conservation/research areas
3
Consult Local and neighbouring communities
Consult to verify that there is no conflict around harvesting on or of sacred/protected sites and species
4
Consult Independent monitor
Consult to verify that there is no conflict around harvesting on or of sacred/protected sites and species
5
Consult Civil society organisations (WWF, FODER, RELUFA, CED, etc.)
Consult to verify that there is no conflict around harvesting on or of sacred/protected sites and species
Description of legal requirements
Harvesting shall not be conducted in protected areas.
VIEW MORE
Protected areas can be classified into three categories based on size (1, 2 and 3) and four categories based on type (national parks (19 existing), wildlife reserves (7), wildlife sanctuaries (5) and zoos). The decree classifying the protected area specifies its primary purpose. Generally speaking, timber harvesting is not provided for in protected areas (logging may potentially be considered for scientific purposes).
Regarding forest titles (UFAs, vente de coupe permits, community forests), loggers must comply with the rules for operating within forest areas. These standards stipulate that logging operators must identify and protect sacred trees, fruit trees or trees used by the population for the harvesting of seeds, and areas that are particularly valuable to the inhabitants.
Furthermore, harvesting is prohibited on sites with a gradient greater than 50% or that border watercourses or water bodies.
Regarding UFAs and council forests, the forest management plan determines the management rules to be implemented within the specified time and space, in line with the existing biodiversity and its habitat. During the micro-zoning process, in line with the area’s wealth of biodiversity and specific environmental characteristics, protected sites and habitats may be identified within the concession (bays, corridors, steep inclines, water sources, etc.). These areas are often found in protection series and conservation series. For example, Moabi trees are protected in Lomié for Pygmy communities, as are certain caves, watercourses and hills, due to their importance as places of religious rites.
The conservation of certain species may also be provided for in the forest management plan, either because of their international status (CITES species, species on the IUCN Red List) or because they are observed as being particularly rare during the management inventory.
Applicable legislation
  • Decision n°0108/D/MINEF/CAB of 9 February 1998 laying down the application of rules for operating in forest areas in the Republic of Cameroon, 1998.
  • Decree n°95/466/PM of 20 July 1995 establishing the modalities for implementing the wildlife regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
VIEW LESS
1.9 Protected sites and species
Last updated on 2021-12-15 Felling operations are conducted in national parks or wildlife reserves Specified RISK
Some forest management companies do indeed take into account the sites and values that are important to neighbouring communities (Asseng Zé, 2008), particularly when preparing their forest management plans. In fact, some areas are established as conservation areas in the forest management plans for UFAs covered by an operating agreement. Companies involved in forest certification schemes are generally more attentive to the sites and species that... VIEW MORESome forest management companies do indeed take into account the sites and values that are important to neighbouring communities (Asseng Zé, 2008), particularly when preparing their forest management plans. In fact, some areas are established as conservation areas in the forest management plans for UFAs covered by an operating agreement. Companies involved in forest certification schemes are generally more attentive to the sites and species that should be protected, as they are often obliged to conduct high conservation value assessments.
However, there are no specific criteria validated by the administration that can be used to identify which sites and species should be protected. There is therefore a risk that some sites or species that should be protected are not correctly identified during the forest management plan preparation phase. A study confirms the low degree of consideration given to biodiversity, wildlife and community interests in 20 forest management plans in Cameroon (Vandenhaute et al., 2006). 
For example, regarding species, companies often only evaluate the harvestable wood species when drawing up their forest management plans and fail to identify the cultural values of other species. Other factors such as non-wood forest products, wildlife and sites of cultural interest to communities are also given insufficient consideration (Expert consultation, 2019). 
There is also a risk that wood located in protection or research series within UFAs is harvested outside of any management provisions under the guise of experimental and research arrangements (Expert consultation, 2019).
Failure to identify and preserve species and sites that should be protected as per the rules for operating in forest areas is also present in the non-permanent forest domain (mainly vente de coupe permits), all the more since they are not managed forests (Expert consultation, 2019).
Finally, there is a risk that wood is illegally felled in national parks or wildlife reserves and ends up being laundered and reintegrated into the formal system for export, covered up with false markings and falsified transport documents (CED-EIA, 2020) 
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationField verification
1
Verify Site log books
Ensure that traceability is maintained between specific trees and the final product or, at the minimum, that volumes indicated on harvest, trade and transport documents are sufficient to cover the product.
2
Verify Waybill
Ensure that traceability is maintained between specific trees and the final product or, at the minimum, that volumes indicated on harvest, trade and transport documents are sufficient to cover the product.
3
Visit Harvesting site
Consider evaluating onsite that timber is not mixed with unknown sources. Each point of storage / processing of the timber shall be considered
Description of legal requirements
Wood shall originate from a legal source type.
VIEW MORE
Protected areas can be classified into three categories based on size (1, 2 and 3) and four categories based on type (national parks (19 existing), wildlife reserves (7), wildlife sanctuaries (5) and zoos). The decree classifying the protected area specifies its primary purpose. Generally speaking, timber harvesting is not provided for in protected areas (logging may potentially be considered for scientific purposes).
Regarding forest titles (UFAs, vente de coupe permits, community forests), loggers must comply with the rules for operating within forest areas. These standards stipulate that logging operators must identify and protect sacred trees, fruit trees or trees used by the population for the harvesting of seeds, and areas that are particularly valuable to the inhabitants.
Furthermore, harvesting is prohibited on sites with a gradient greater than 50% or that border watercourses or water bodies.
Regarding UFAs and council forests, the forest management plan determines the management rules to be implemented within the specified time and space, in line with the existing biodiversity and its habitat. During the micro-zoning process, in line with the area’s wealth of biodiversity and specific environmental characteristics, protected sites and habitats may be identified within the concession (bays, corridors, steep inclines, water sources, etc.). These areas are often found in protection series and conservation series. For example, Moabi trees are protected in Lomié for Pygmy communities, as are certain caves, watercourses and hills, due to their importance as places of religious rites.
The conservation of certain species may also be provided for in the forest management plan, either because of their international status (CITES species, species on the IUCN Red List) or because they are observed as being particularly rare during the management inventory.
Applicable legislation
  • Decision n°0108/D/MINEF/CAB of 9 February 1998 laying down the application of rules for operating in forest areas in the Republic of Cameroon, 1998.
  • Decree n°95/466/PM of 20 July 1995 establishing the modalities for implementing the wildlife regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
VIEW LESS
1.10 Environmental requirements
Last updated on 2021-12-15 The rules for operating in forest areas are not respected, particularly for the protection of water bodies Specified RISK
•    The rules for operating in forest areas are not respected. There are numerous documented examples of trees being felled in breach of the regulations on sloping land or near watercourses (IM-AGRECO-CEW, 2010, SNOIE/FODER, 2016, SNOIE, n°5-2019, n°9-2020, n°11-2020, n°12-2020); •    Waste management standards are not respected (SNOIE/FODER, 2016);•    Logging operations are initiated before an environmental impact assessmen... VIEW MORE•    The rules for operating in forest areas are not respected. There are numerous documented examples of trees being felled in breach of the regulations on sloping land or near watercourses (IM-AGRECO-CEW, 2010, SNOIE/FODER, 2016, SNOIE, n°5-2019, n°9-2020, n°11-2020, n°12-2020); 
•    Waste management standards are not respected (SNOIE/FODER, 2016);
•    Logging operations are initiated before an environmental impact assessment is conducted. In practice, EIAs are often carried out several years after the concession has been opened for UFAs and are not carried out at all for community forests or vente de coupe permits (IM/AGRECO-CEW, 2010 and 2012). Regarding vente de coupe permits in particular, what sometimes happens is that the state does not conduct the EIA prior to allocation and logging operators do not always have the resources to carry it out themselves, especially as it takes 2 years to finalise this kind of assessment and vente de coupe permits are only allocated for a maximum of 3 years;
•    If the EIA is carried out, it is not always conducted in line with the requirements in force (Chatham House, 2015, Alemagi, D. et al., 2013) or the requirements of the environmental management plan are not always subsequently implemented (Expert consultation, 2019).
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Field verification
1
Visit Harvesting site
Conduct field checks on compliance with the rules for operating in forest areas. In particular, verify that no harvesting is carried out on sloping land or near watercourses.
Description of legal requirements
Rules for operating in forest areas shall be respected
VIEW MORE
Rules for operating in forest areas 
The rules for operating in forest areas, approved by Ministerial Decision n°0108-MINEF, stipulate certain environmental regulations, notably on prohibiting harvesting in areas bordering bodies of water and machinery passing through these areas, on the protection of water quality (construction of temporary bridges for the purpose of crossing over watercourses, ban on cleaning machinery in or around bodies of water, ban on handling fuels in or around bodies of water, etc.). These operating rules also outline the regulations to be respected during the construction and maintenance of forest roads, bridges and culverts, and log yards.
Environmental impact assessments
The law requires for a preliminary environmental impact assessment (EIA) to be carried out. In line with the scale of the project, the following types of assessments must be carried out (art. 4 and 5 Order n°00001/MINEPDED):
•    Detailed impact assessment:
o    For UFAs (the concessionaire is responsible for carrying out the assessment);
•    Summary impact assessment:
o    For council forests (the council is responsible for carrying out the assessment);
o    For vente de coupe permits (the state is responsible for carrying out the assessment. However, some logging operators with vente de coupe permits carry out summary assessments on their own initiative anyway).
The EIA must be carried out and approved before the project is initiated (Decree n°2013/0171/PM, art. 3(3) and 25(1)).
The process includes seven (7) steps: 
•    The EIA terms of reference (ToR) and application file are submitted to the Ministry of Environment
•    The ToR are approved
•    The EIA is carried out and the report is submitted
•    The admissibility of the impact assessment is evaluated
•    The public hearings are organised 
•    The assessment is approved and the environmental conformity certificate is issued
•    Environmental follow-up/monitoring is carried out by the concessionaire continuously and by the administration on a quarterly basis.
An environmental audit is conducted whenever the context in which the project is implemented changes. 
During the course of the project, the proponent must draw up a quarterly report and submit it to the Ministry of the Environment’s decentralised departments. The environmental management plan must be attached to the impact assessment report in an annex. For each environmental impact, mitigation measures, frequency, implementation indicators etc. are suggested.
 
Applicable legislation
  • Decision n°0108/D/MINEF/CAB of 9 February 1998 laying down the application of rules for operating in forest areas in the Republic of Cameroon, 1998.
  • Decree n° 2006/1577/PM of 11 September 2006 modifying and supplementing some provisions of Decree n°2001/718/PM of 3 September 2001 on the organisation and functioning of the inter-ministerial committee on the environment, 2006.
  • Decree n°2001/718/PM of 3 September 2001 on the organisation and functioning of the inter-ministerial committee on the environment, 2001.
  • Decree n°2013/0171/PM of 14 February 2013 establishing the modalities for conducting environmental and social impact assessments;, 2013.
  • Law n°96/12 of 5 August 1996 establishing a legal framework for environmental management, 1996.
  • Order n°00001/MINEPDED of 8 February 2016 laying down the different categories of operations subjected to a strategic environmental evaluation or an environmental and social impact assessment, 2016.
  • Order n°00002/MINPDED of 8 February 2016 defining a standard framework for the terms of reference and the content of the environmental impact notice, 2016.
  • Order N°001/MINEP of 3 April 2013 laying down the organization and functioning of Divisional Environmental and Social Management Plan (ESMP) Implementation Monitoring Committees, 2013.
VIEW LESS
1.10 Environmental requirements
Last updated on 2021-12-15 No environmental impact assessments are carried out (EIA) Specified RISK
•    The rules for operating in forest areas are not respected. There are numerous documented examples of trees being felled in breach of the regulations on sloping land or near watercourses (IM-AGRECO-CEW, 2010, SNOIE/FODER, 2016, SNOIE, n°5-2019, n°9-2020, n°11-2020, n°12-2020); •    Waste management standards are not respected (SNOIE/FODER, 2016);•    Logging operations are initiated before an environmental impact assessmen... VIEW MORE•    The rules for operating in forest areas are not respected. There are numerous documented examples of trees being felled in breach of the regulations on sloping land or near watercourses (IM-AGRECO-CEW, 2010, SNOIE/FODER, 2016, SNOIE, n°5-2019, n°9-2020, n°11-2020, n°12-2020); 
•    Waste management standards are not respected (SNOIE/FODER, 2016);
•    Logging operations are initiated before an environmental impact assessment is conducted. In practice, EIAs are often carried out several years after the concession has been opened for UFAs and are not carried out at all for community forests or vente de coupe permits (IM/AGRECO-CEW, 2010 and 2012). Regarding vente de coupe permits in particular, what sometimes happens is that the state does not conduct the EIA prior to allocation and logging operators do not always have the resources to carry it out themselves, especially as it takes 2 years to finalise this kind of assessment and vente de coupe permits are only allocated for a maximum of 3 years;
•    If the EIA is carried out, it is not always conducted in line with the requirements in force (Chatham House, 2015, Alemagi, D. et al., 2013) or the requirements of the environmental management plan are not always subsequently implemented (Expert consultation, 2019).
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Environmental and Social Management Plan
If applicable, a follow-up report from the administration on the implementation of the environmental and social management plan.
2
Verify Environment Impact assessment report
Description of legal requirements
Environmental impact assessments shall be developed
VIEW MORE
Rules for operating in forest areas 
The rules for operating in forest areas, approved by Ministerial Decision n°0108-MINEF, stipulate certain environmental regulations, notably on prohibiting harvesting in areas bordering bodies of water and machinery passing through these areas, on the protection of water quality (construction of temporary bridges for the purpose of crossing over watercourses, ban on cleaning machinery in or around bodies of water, ban on handling fuels in or around bodies of water, etc.). These operating rules also outline the regulations to be respected during the construction and maintenance of forest roads, bridges and culverts, and log yards.
Environmental impact assessments
The law requires for a preliminary environmental impact assessment (EIA) to be carried out. In line with the scale of the project, the following types of assessments must be carried out (art. 4 and 5 Order n°00001/MINEPDED):
•    Detailed impact assessment:
o    For UFAs (the concessionaire is responsible for carrying out the assessment);
•    Summary impact assessment:
o    For council forests (the council is responsible for carrying out the assessment);
o    For vente de coupe permits (the state is responsible for carrying out the assessment. However, some logging operators with vente de coupe permits carry out summary assessments on their own initiative anyway).
The EIA must be carried out and approved before the project is initiated (Decree n°2013/0171/PM, art. 3(3) and 25(1)).
The process includes seven (7) steps: 
•    The EIA terms of reference (ToR) and application file are submitted to the Ministry of Environment
•    The ToR are approved
•    The EIA is carried out and the report is submitted
•    The admissibility of the impact assessment is evaluated
•    The public hearings are organised 
•    The assessment is approved and the environmental conformity certificate is issued
•    Environmental follow-up/monitoring is carried out by the concessionaire continuously and by the administration on a quarterly basis.
An environmental audit is conducted whenever the context in which the project is implemented changes. 
During the course of the project, the proponent must draw up a quarterly report and submit it to the Ministry of the Environment’s decentralised departments. The environmental management plan must be attached to the impact assessment report in an annex. For each environmental impact, mitigation measures, frequency, implementation indicators etc. are suggested.
 
Applicable legislation
  • Decision n°0108/D/MINEF/CAB of 9 February 1998 laying down the application of rules for operating in forest areas in the Republic of Cameroon, 1998.
  • Decree n° 2006/1577/PM of 11 September 2006 modifying and supplementing some provisions of Decree n°2001/718/PM of 3 September 2001 on the organisation and functioning of the inter-ministerial committee on the environment, 2006.
  • Decree n°2001/718/PM of 3 September 2001 on the organisation and functioning of the inter-ministerial committee on the environment, 2001.
  • Decree n°2013/0171/PM of 14 February 2013 establishing the modalities for conducting environmental and social impact assessments;, 2013.
  • Law n°96/12 of 5 August 1996 establishing a legal framework for environmental management, 1996.
  • Order n°00001/MINEPDED of 8 February 2016 laying down the different categories of operations subjected to a strategic environmental evaluation or an environmental and social impact assessment, 2016.
  • Order n°00002/MINPDED of 8 February 2016 defining a standard framework for the terms of reference and the content of the environmental impact notice, 2016.
  • Order N°001/MINEP of 3 April 2013 laying down the organization and functioning of Divisional Environmental and Social Management Plan (ESMP) Implementation Monitoring Committees, 2013.
VIEW LESS
1.10 Environmental requirements
Last updated on 2021-12-15 The environmental and social management plans arising from the EIAs are not implemented Specified RISK
•    The rules for operating in forest areas are not respected. There are numerous documented examples of trees being felled in breach of the regulations on sloping land or near watercourses (IM-AGRECO-CEW, 2010, SNOIE/FODER, 2016, SNOIE, n°5-2019, n°9-2020, n°11-2020, n°12-2020); •    Waste management standards are not respected (SNOIE/FODER, 2016);•    Logging operations are initiated before an environmental impact assessmen... VIEW MORE•    The rules for operating in forest areas are not respected. There are numerous documented examples of trees being felled in breach of the regulations on sloping land or near watercourses (IM-AGRECO-CEW, 2010, SNOIE/FODER, 2016, SNOIE, n°5-2019, n°9-2020, n°11-2020, n°12-2020); 
•    Waste management standards are not respected (SNOIE/FODER, 2016);
•    Logging operations are initiated before an environmental impact assessment is conducted. In practice, EIAs are often carried out several years after the concession has been opened for UFAs and are not carried out at all for community forests or vente de coupe permits (IM/AGRECO-CEW, 2010 and 2012). Regarding vente de coupe permits in particular, what sometimes happens is that the state does not conduct the EIA prior to allocation and logging operators do not always have the resources to carry it out themselves, especially as it takes 2 years to finalise this kind of assessment and vente de coupe permits are only allocated for a maximum of 3 years;
•    If the EIA is carried out, it is not always conducted in line with the requirements in force (Chatham House, 2015, Alemagi, D. et al., 2013) or the requirements of the environmental management plan are not always subsequently implemented (Expert consultation, 2019).
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Environmental and Social Management Plan
If applicable, a follow-up report from the administration on the implementation of the environmental and social management plan.
2
Verify Environment Impact assessment report
Description of legal requirements
Environmental impact assessments shall be implemented
VIEW MORE
Rules for operating in forest areas 
The rules for operating in forest areas, approved by Ministerial Decision n°0108-MINEF, stipulate certain environmental regulations, notably on prohibiting harvesting in areas bordering bodies of water and machinery passing through these areas, on the protection of water quality (construction of temporary bridges for the purpose of crossing over watercourses, ban on cleaning machinery in or around bodies of water, ban on handling fuels in or around bodies of water, etc.). These operating rules also outline the regulations to be respected during the construction and maintenance of forest roads, bridges and culverts, and log yards.
Environmental impact assessments
The law requires for a preliminary environmental impact assessment (EIA) to be carried out. In line with the scale of the project, the following types of assessments must be carried out (art. 4 and 5 Order n°00001/MINEPDED):
•    Detailed impact assessment:
o    For UFAs (the concessionaire is responsible for carrying out the assessment);
•    Summary impact assessment:
o    For council forests (the council is responsible for carrying out the assessment);
o    For vente de coupe permits (the state is responsible for carrying out the assessment. However, some logging operators with vente de coupe permits carry out summary assessments on their own initiative anyway).
The EIA must be carried out and approved before the project is initiated (Decree n°2013/0171/PM, art. 3(3) and 25(1)).
The process includes seven (7) steps: 
•    The EIA terms of reference (ToR) and application file are submitted to the Ministry of Environment
•    The ToR are approved
•    The EIA is carried out and the report is submitted
•    The admissibility of the impact assessment is evaluated
•    The public hearings are organised 
•    The assessment is approved and the environmental conformity certificate is issued
•    Environmental follow-up/monitoring is carried out by the concessionaire continuously and by the administration on a quarterly basis.
An environmental audit is conducted whenever the context in which the project is implemented changes. 
During the course of the project, the proponent must draw up a quarterly report and submit it to the Ministry of the Environment’s decentralised departments. The environmental management plan must be attached to the impact assessment report in an annex. For each environmental impact, mitigation measures, frequency, implementation indicators etc. are suggested.
 
Applicable legislation
  • Decision n°0108/D/MINEF/CAB of 9 February 1998 laying down the application of rules for operating in forest areas in the Republic of Cameroon, 1998.
  • Decree n° 2006/1577/PM of 11 September 2006 modifying and supplementing some provisions of Decree n°2001/718/PM of 3 September 2001 on the organisation and functioning of the inter-ministerial committee on the environment, 2006.
  • Decree n°2001/718/PM of 3 September 2001 on the organisation and functioning of the inter-ministerial committee on the environment, 2001.
  • Decree n°2013/0171/PM of 14 February 2013 establishing the modalities for conducting environmental and social impact assessments;, 2013.
  • Law n°96/12 of 5 August 1996 establishing a legal framework for environmental management, 1996.
  • Order n°00001/MINEPDED of 8 February 2016 laying down the different categories of operations subjected to a strategic environmental evaluation or an environmental and social impact assessment, 2016.
  • Order n°00002/MINPDED of 8 February 2016 defining a standard framework for the terms of reference and the content of the environmental impact notice, 2016.
  • Order N°001/MINEP of 3 April 2013 laying down the organization and functioning of Divisional Environmental and Social Management Plan (ESMP) Implementation Monitoring Committees, 2013.
VIEW LESS
1.11 Health and safety
Last updated on 2021-12-15 Regulatory provisions related to health and safety (illness or accidents) are not implemented Specified RISK
There is a high risk that companies do not respect the regulatory requirements in relation to health and safety at work, with the exception of companies part of a certification system.The associated risks are:•    No medical service/infirmary/first aid kit/partnership contract with a health centre/occupational doctor is established (Expert consultation, 2019);•    Workers are not provided with the appropriate care in the event of an acc... VIEW MOREThere is a high risk that companies do not respect the regulatory requirements in relation to health and safety at work, with the exception of companies part of a certification system.
The associated risks are:
•    No medical service/infirmary/first aid kit/partnership contract with a health centre/occupational doctor is established (Expert consultation, 2019);
•    Workers are not provided with the appropriate care in the event of an accident or illness (Expert consultation, 2019); 
•    Accidents at work are not declared to the National Social Insurance Fund (CNPS) (Expert consultation, 2019);
•    Workers are not declared to the CNPS (Expert consultation, 2019);
•    The required Health and Safety Committee is not created or is not run properly (for companies with more than 50 employees) (Expert consultation, 2019);
•    Employees do not receive a medical check-up when first hired (Expert consultation, 2019);
•    Employees do not receive annual medical check-ups (Expert consultation, 2019);
•    No drinking water is available at sites and work premises (Expert consultation, 2019);
•    No decent accommodation is provided in forest camps (Expert consultation, 2019);
•    Employees are not provided with personal protective equipment (gloves, uniforms suitable for their specific job, helmet, protective footwear, etc.) (SNOIE/FODER, 2016). Accidents at work occur regularly at logging sites and timber processing units;
•    A first aid kit is not available at each workstation (Expert consultation, 2019);
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationField verification
1
Verify Document providing proof that workers are registered with the CNPS
2
Verify Certificate delivered by CNPS
3
Visit Harvesting site

Interview workers to check that they have appropriate care in the event of an accident or illness.

Description of legal requirements
Workers shall be declared to the CNPS and shall benefit from appropriate care in the event of an accident or illness.
VIEW MORE
All companies must provide their employees with medical and healthcare services. Such services must be suited to the individual company’s context and scope of work. The size of the occupational health service depends on the size of the company. Its main role is to oversee all industrial hygiene conditions, risks of contagion and the health of all individuals (and their partners and children) working for the employer.
This service is also responsible for implementing appropriate preventive measures, whilst ensuring that all necessary medical treatment is compliant with the regulations in force. Workers must notably receive a medical check-up when they are first recruited and periodically thereafter.
Companies of more than 50 employees must set up a Health and Safety Committee.
Cameroonian law also requires all companies to provide their workers with safety equipment that is suitable for their role, which they must service and replace as required. Finally, any worker displaced for the execution of an employment contract must benefit from sufficient and decent accommodation (art. 66 Law n°92-007). This situation is frequent and the logging company's employees are often accommodated in forest camps.
 
Applicable legislation
  • Decree n°79/096 of 21 March 1979 establishing the modalities for exercising occupational healthcare, 1979.
  • Joint order n°025/MTPS and n°042/MSP of 28 November 1981., 1981.
  • Joint order n°073/MINAT/MINVIL of 25 May 2000 specifying the modalities for applying certain public health and safety rules, 2000.
  • Law n°64/LF-23 of 13 November 1964 on the protection of public health in Cameroon, 1964.
  • Law n°92-007 of 14 August 1992 on the Labour Code, 1992.
  • Law n°96/03 of 4 January 1996 establishing a framework law in the health domain, 1996.
  • Order n°015/MTPS/IMT of 15 October 1979;, 1979.
  • Order n°039/MTPS/IMT of 26 November 1984 establishing the general rules for health and safety at work, 1984.
VIEW LESS
1.11 Health and safety
Last updated on 2021-12-15 Regulatory provisions related to occupational health are not implemented (available medical service, annual medical check-ups, available personal protective equipment, available first aid kits, decent accommodation in forest camps, etc.) Specified RISK
There is a high risk that companies do not respect the regulatory requirements in relation to health and safety at work, with the exception of companies part of a certification system.The associated risks are:•    No medical service/infirmary/first aid kit/partnership contract with a health centre/occupational doctor is established (Expert consultation, 2019);•    Workers are not provided with the appropriate care in the event of an acc... VIEW MOREThere is a high risk that companies do not respect the regulatory requirements in relation to health and safety at work, with the exception of companies part of a certification system.
The associated risks are:
•    No medical service/infirmary/first aid kit/partnership contract with a health centre/occupational doctor is established (Expert consultation, 2019);
•    Workers are not provided with the appropriate care in the event of an accident or illness (Expert consultation, 2019); 
•    Accidents at work are not declared to the National Social Insurance Fund (CNPS) (Expert consultation, 2019);
•    Workers are not declared to the CNPS (Expert consultation, 2019);
•    The required Health and Safety Committee is not created or is not run properly (for companies with more than 50 employees) (Expert consultation, 2019);
•    Employees do not receive a medical check-up when first hired (Expert consultation, 2019);
•    Employees do not receive annual medical check-ups (Expert consultation, 2019);
•    No drinking water is available at sites and work premises (Expert consultation, 2019);
•    No decent accommodation is provided in forest camps (Expert consultation, 2019);
•    Employees are not provided with personal protective equipment (gloves, uniforms suitable for their specific job, helmet, protective footwear, etc.) (SNOIE/FODER, 2016). Accidents at work occur regularly at logging sites and timber processing units;
•    A first aid kit is not available at each workstation (Expert consultation, 2019);
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationField verification
1
Verify Documents indicating the existence of a dedicated occupational health service

Declaration of an infirmary to the administration, partnership contract with a health centre, nurse employment contract, contract with a doctor specialising in occupational health, etc.

2
Verify Reports of medical check-ups conducted annually or upon recruitment
3
Verify Document indicating that personal protective equipment for workers has been provided
4
Visit Harvesting site to check that personal protective equipment is available and that decent housing is provided to workers within forest camps
Description of legal requirements
Regulatory provisions related to occupational health shall be implemented.
VIEW MORE
All companies must provide their employees with medical and healthcare services. Such services must be suited to the individual company’s context and scope of work. The size of the occupational health service depends on the size of the company. Its main role is to oversee all industrial hygiene conditions, risks of contagion and the health of all individuals (and their partners and children) working for the employer.
This service is also responsible for implementing appropriate preventive measures, whilst ensuring that all necessary medical treatment is compliant with the regulations in force. Workers must notably receive a medical check-up when they are first recruited and periodically thereafter.
Companies of more than 50 employees must set up a Health and Safety Committee.
Cameroonian law also requires all companies to provide their workers with safety equipment that is suitable for their role, which they must service and replace as required. Finally, any worker displaced for the execution of an employment contract must benefit from sufficient and decent accommodation (art. 66 Law n°92-007). This situation is frequent and the logging company's employees are often accommodated in forest camps.
 
Applicable legislation
  • Decree n°79/096 of 21 March 1979 establishing the modalities for exercising occupational healthcare, 1979.
  • Joint order n°025/MTPS and n°042/MSP of 28 November 1981., 1981.
  • Joint order n°073/MINAT/MINVIL of 25 May 2000 specifying the modalities for applying certain public health and safety rules, 2000.
  • Law n°64/LF-23 of 13 November 1964 on the protection of public health in Cameroon, 1964.
  • Law n°92-007 of 14 August 1992 on the Labour Code, 1992.
  • Law n°96/03 of 4 January 1996 establishing a framework law in the health domain, 1996.
  • Order n°015/MTPS/IMT of 15 October 1979;, 1979.
  • Order n°039/MTPS/IMT of 26 November 1984 establishing the general rules for health and safety at work, 1984.
VIEW LESS
1.12 Legal employment
Last updated on 2021-12-15 Employment contracts are not registered with the labour administration Specified RISK
Failure to comply with legal employment requirements presents a high risk, except for companies that are part of a certification system. The main breaches observed are as follows: •    Companies have no internal regulations; (Expert consultation, 2019);•    Workers do not have an employment contract registered with the administration (SNOIE/FODER, 2016, CED-EIA, 2020);•    The company does not record or pay social security contrib... VIEW MOREFailure to comply with legal employment requirements presents a high risk, except for companies that are part of a certification system. The main breaches observed are as follows: 
•    Companies have no internal regulations; (Expert consultation, 2019);
•    Workers do not have an employment contract registered with the administration (SNOIE/FODER, 2016, CED-EIA, 2020);
•    The company does not record or pay social security contributions to the CNPS for its workers (SNOIE/FODER, 2016);
•    Workers are not given a weekly rest day (Expert consultation, 2019);
•    Workers are not given annual leave (Expert consultation, 2019);
•    Workers’ remuneration does not comply with the requirements set out in the collective bargaining agreement, in particular for the application of workers’ categories (Expert consultation, 2019);
•    Workers are not paid by way of a payslip (CED-EIA, 2020);
•    Workers without an employment contract are paid below the minimum wage (Expert consultation, 2019).

 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationField verification
1
Verify Declaration of establishment to the labour administration
2
Verify Proof that workers are registered with the National Social Security Fund (CNPS)
3
Verify Employment contracts

A sample of employment contracts and/or proof of declaration of the contract with the labour administration

4
Visit Harvesting site
Interview workers to check that they have an employment contract, a social security booklet, etc. Review those documents.
Description of legal requirements
Workers shall have an employment contract registered with the labor administration.
VIEW MORE
Every company must declare to the labour inspectorate the details of the workforce employed (Art. 115 law n°92/007).
Cameroon’s Labour Code classifies employment relationships into standard and non-standard contracts. The first category includes temporary and permanent employment contracts, whilst the second comprises apprenticeship contracts, piecework and unstable employment contracts (travail précaire). 
The Labour Code currently applicable in Cameroon introduces updates in relation to travail précaire and lists the conditions under which an employment relationship can be legally qualified as such (Article 25-4, Law n°92/007). 
All employment contracts must be subject to a declaration to the territorially competent labour administration. A declaration must also be made to the National Social Insurance Fund (CNPS), to which the employer must pay monthly contributions. The legal minimum working age must be respected during all recruitment processes. The Labour Code limits the age for employment to 14 (Article 86.1 of Law n°92/007), however parental authorisation is required for all employees below the age of 21.
Companies must establish a set of internal regulations.
The minimum wage must be respected for all workers.
Workers’ classifications must factor in the jobs provided for in the forest sector collective bargaining agreement. Workers must receive their remuneration by way of a payslip no later than 8 days after the end of the month. 
Workers have the right to organise themselves into staff representative bodies and join trade unions.  
Each working day lasts 8 hours. Additional hours are permitted but only following authorisation from the labour administration. The right to a weekly rest day and annual leave must be respected.
In the event of force majeure, the employer may decide to interrupt its activities by agreement with the staff representatives and the administration. The most common reasons include forced leave (congé technique), scheduled shutdown (arrêt technique), and financial problems, etc.
 
Applicable legislation
  • Decree n°018/MTPS/SG/CJ of 26 May 1993 establishing the conditions that worker accommodation must meet, minimum rates and modalities for allocating a compensatory housing allowance, 1993.
  • Decree n°75/28 of 10 January 1975 on the modalities for the implementation of paid leave;, 1975.
  • Decree n°93/574 of 15 July 1993 determining the form of professional trade unions admitted for registration, 1993.
  • Decree n°95/677/PM of 18 December 1995 concerning derogations to statutory working hours;, 1995.
  • Law n°92-007 of 14 August 1992 on the Labour Code, 1992.
  • Order n°011/MTPS/DT of 28 April 1971 on the procedure for reclassifying workers into sectoral professional classification categories;, 1971.
  • Order n°016/MTPS/DEGRE/SEJS of 15 July 1968 relating to the supporting documents that prove payment of salaries, 1968.
  • Order n°019/MTPS/SG/CJ of 26 May 1993 establishing the election procedures and the conditions for exercising staff representative duties, 1993.
  • Order n°21/MTPS/SG/CJ of 26 May 1993 establishing the modalities for dismissals for financial reasons, 1993.
VIEW LESS
1.12 Legal employment
Last updated on 2021-12-15 The minimum wage or wage provided for by the collective bargaining agreement based on workers’ categories is not respected Specified RISK
Failure to comply with legal employment requirements presents a high risk, except for companies that are part of a certification system. The main breaches observed are as follows: •    Companies have no internal regulations; (Expert consultation, 2019);•    Workers do not have an employment contract registered with the administration (SNOIE/FODER, 2016, CED-EIA, 2020);•    The company does not record or pay social security contrib... VIEW MOREFailure to comply with legal employment requirements presents a high risk, except for companies that are part of a certification system. The main breaches observed are as follows: 
•    Companies have no internal regulations; (Expert consultation, 2019);
•    Workers do not have an employment contract registered with the administration (SNOIE/FODER, 2016, CED-EIA, 2020);
•    The company does not record or pay social security contributions to the CNPS for its workers (SNOIE/FODER, 2016);
•    Workers are not given a weekly rest day (Expert consultation, 2019);
•    Workers are not given annual leave (Expert consultation, 2019);
•    Workers’ remuneration does not comply with the requirements set out in the collective bargaining agreement, in particular for the application of workers’ categories (Expert consultation, 2019);
•    Workers are not paid by way of a payslip (CED-EIA, 2020);
•    Workers without an employment contract are paid below the minimum wage (Expert consultation, 2019).

 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Workers payslips

Check that the wage is not below prescribed minimum wage.

2
Verify Harvesting site
Interview workers to check that they benefit from minimum wage.
Description of legal requirements
Workers shall benefit from minimum wage provided for by law or by the collective bargaining agreement based on their category.
VIEW MORE
Every company must declare to the labour inspectorate the details of the workforce employed (Art. 115 law n°92/007).
Cameroon’s Labour Code classifies employment relationships into standard and non-standard contracts. The first category includes temporary and permanent employment contracts, whilst the second comprises apprenticeship contracts, piecework and unstable employment contracts (travail précaire). 
The Labour Code currently applicable in Cameroon introduces updates in relation to travail précaire and lists the conditions under which an employment relationship can be legally qualified as such (Article 25-4, Law n°92/007). 
All employment contracts must be subject to a declaration to the territorially competent labour administration. A declaration must also be made to the National Social Insurance Fund (CNPS), to which the employer must pay monthly contributions. The legal minimum working age must be respected during all recruitment processes. The Labour Code limits the age for employment to 14 (Article 86.1 of Law n°92/007), however parental authorisation is required for all employees below the age of 21.
Companies must establish a set of internal regulations.
The minimum wage must be respected for all workers.
Workers’ classifications must factor in the jobs provided for in the forest sector collective bargaining agreement. Workers must receive their remuneration by way of a payslip no later than 8 days after the end of the month. 
Workers have the right to organise themselves into staff representative bodies and join trade unions.  
Each working day lasts 8 hours. Additional hours are permitted but only following authorisation from the labour administration. The right to a weekly rest day and annual leave must be respected.
In the event of force majeure, the employer may decide to interrupt its activities by agreement with the staff representatives and the administration. The most common reasons include forced leave (congé technique), scheduled shutdown (arrêt technique), and financial problems, etc.
 
Applicable legislation
  • Decree n°018/MTPS/SG/CJ of 26 May 1993 establishing the conditions that worker accommodation must meet, minimum rates and modalities for allocating a compensatory housing allowance, 1993.
  • Decree n°75/28 of 10 January 1975 on the modalities for the implementation of paid leave;, 1975.
  • Decree n°93/574 of 15 July 1993 determining the form of professional trade unions admitted for registration, 1993.
  • Decree n°95/677/PM of 18 December 1995 concerning derogations to statutory working hours;, 1995.
  • Law n°92-007 of 14 August 1992 on the Labour Code, 1992.
  • Order n°011/MTPS/DT of 28 April 1971 on the procedure for reclassifying workers into sectoral professional classification categories;, 1971.
  • Order n°016/MTPS/DEGRE/SEJS of 15 July 1968 relating to the supporting documents that prove payment of salaries, 1968.
  • Order n°019/MTPS/SG/CJ of 26 May 1993 establishing the election procedures and the conditions for exercising staff representative duties, 1993.
  • Order n°21/MTPS/SG/CJ of 26 May 1993 establishing the modalities for dismissals for financial reasons, 1993.
VIEW LESS
1.12 Legal employment
Last updated on 2021-12-15 The regulatory work-related provisions (rest days, leave, internal regulations, etc.) are not respected Specified RISK
Failure to comply with legal employment requirements presents a high risk, except for companies that are part of a certification system. The main breaches observed are as follows: •    Companies have no internal regulations; (Expert consultation, 2019);•    Workers do not have an employment contract registered with the administration (SNOIE/FODER, 2016, CED-EIA, 2020);•    The company does not record or pay social security contrib... VIEW MOREFailure to comply with legal employment requirements presents a high risk, except for companies that are part of a certification system. The main breaches observed are as follows: 
•    Companies have no internal regulations; (Expert consultation, 2019);
•    Workers do not have an employment contract registered with the administration (SNOIE/FODER, 2016, CED-EIA, 2020);
•    The company does not record or pay social security contributions to the CNPS for its workers (SNOIE/FODER, 2016);
•    Workers are not given a weekly rest day (Expert consultation, 2019);
•    Workers are not given annual leave (Expert consultation, 2019);
•    Workers’ remuneration does not comply with the requirements set out in the collective bargaining agreement, in particular for the application of workers’ categories (Expert consultation, 2019);
•    Workers are not paid by way of a payslip (CED-EIA, 2020);
•    Workers without an employment contract are paid below the minimum wage (Expert consultation, 2019).

 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationField verification
1
Verify Documents relating to the election of staff representatives

Minutes from elections and meetings, list of requests (cahier de doléances), etc.

2
Visit Harvesting site
Interview workers to check that they benefit from rest days and annual leave, are over the minimum legal age, and are being paid within the regulatory time frame, etc.
Description of legal requirements
Regulatory work-related provisions (rest days, leave, internal regulations, etc.) shall be respected.
VIEW MORE
Every company must declare to the labour inspectorate the details of the workforce employed (Art. 115 law n°92/007).
Cameroon’s Labour Code classifies employment relationships into standard and non-standard contracts. The first category includes temporary and permanent employment contracts, whilst the second comprises apprenticeship contracts, piecework and unstable employment contracts (travail précaire). 
The Labour Code currently applicable in Cameroon introduces updates in relation to travail précaire and lists the conditions under which an employment relationship can be legally qualified as such (Article 25-4, Law n°92/007). 
All employment contracts must be subject to a declaration to the territorially competent labour administration. A declaration must also be made to the National Social Insurance Fund (CNPS), to which the employer must pay monthly contributions. The legal minimum working age must be respected during all recruitment processes. The Labour Code limits the age for employment to 14 (Article 86.1 of Law n°92/007), however parental authorisation is required for all employees below the age of 21.
Companies must establish a set of internal regulations.
The minimum wage must be respected for all workers.
Workers’ classifications must factor in the jobs provided for in the forest sector collective bargaining agreement. Workers must receive their remuneration by way of a payslip no later than 8 days after the end of the month. 
Workers have the right to organise themselves into staff representative bodies and join trade unions.  
Each working day lasts 8 hours. Additional hours are permitted but only following authorisation from the labour administration. The right to a weekly rest day and annual leave must be respected.
In the event of force majeure, the employer may decide to interrupt its activities by agreement with the staff representatives and the administration. The most common reasons include forced leave (congé technique), scheduled shutdown (arrêt technique), and financial problems, etc.
 
Applicable legislation
  • Decree n°018/MTPS/SG/CJ of 26 May 1993 establishing the conditions that worker accommodation must meet, minimum rates and modalities for allocating a compensatory housing allowance, 1993.
  • Decree n°75/28 of 10 January 1975 on the modalities for the implementation of paid leave;, 1975.
  • Decree n°93/574 of 15 July 1993 determining the form of professional trade unions admitted for registration, 1993.
  • Decree n°95/677/PM of 18 December 1995 concerning derogations to statutory working hours;, 1995.
  • Order n°011/MTPS/DT of 28 April 1971 on the procedure for reclassifying workers into sectoral professional classification categories;, 1971.
  • Order n°016/MTPS/DEGRE/SEJS of 15 July 1968 relating to the supporting documents that prove payment of salaries, 1968.
  • Order n°019/MTPS/SG/CJ of 26 May 1993 establishing the election procedures and the conditions for exercising staff representative duties, 1993.
  • Order n°21/MTPS/SG/CJ of 26 May 1993 establishing the modalities for dismissals for financial reasons, 1993.
VIEW LESS
1.13 Customary rights
Last updated on 2021-12-15 The local communities are not informed or consulted before forest titles are exploited and/or before the zoning operations are completed during the forest management plan / programme preparation phase Specified RISK
•   Communities are not consulted during the drawing up of the forest management plan and micro-zoning of forests in the permanent forest domain (Chatham House, 2015);•   Communities are unable to exercise their customary rights as a result of the logging activities or the concessionaire bans them from even accessing the UFA (Expert consultation, 2019);•   Communities are not consulted prior to the allocation of the title (Chatham ... VIEW MORE

•   Communities are not consulted during the drawing up of the forest management plan and micro-zoning of forests in the permanent forest domain (Chatham House, 2015);

•   Communities are unable to exercise their customary rights as a result of the logging activities or the concessionaire bans them from even accessing the UFA (Expert consultation, 2019);

•   Communities are not consulted prior to the allocation of the title (Chatham House, 2015). In particular, the forest-farmer committee provided for by Decision n°1354 does not fulfil its role due to a lack of resources available to facilitate the running thereof (Expert consultation, 2019). The regulations do not actually provide for the resources that enable this committee to fulfil its role of supervising and contributing to the management decisions on zoning, etc.

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Minutes from the information meeting prior to the start of logging activities
2
Verify Forest management plan and its approval notice
Check the forest management plan or simplified management programme depending on the case
Description of legal requirements
Local communities shall be informed or consulted before forest titles are exploited and, if applicable, before the zoning operations are completed during the forest management plan / programme preparation phase.
VIEW MORE
The regulations grant local communities (1) rights to information, (2) user rights and (3) rights to the financial income generated by the harvesting of forest resources.
The regulations recognise all “populations who live or reside within or near any forest subject to harvesting activities, who have user rights or customary rights within such forest” (Joint Order n°76, Art. 2) as local communities with the above rights.
Finally, communities also have the right to erect a community forest and to manage and exploit such forest. Community forests are allocated through a collective process. The modalities for managing community forests are outlined in the management agreement concluded with the state, and in the simplified management programme. They are governed by the standards applicable to community forest management.
Right to information
The regulations stipulate that communities must be taken into consideration in all decisions regarding forests. Administrations must consult the communities on all management decisions both in the permanent forest domain and the non-permanent forest domain. 
Communities take part in forest area classification decisions by raising any objections during the dedicated period following the publication of the public notice. An awareness meeting is then conducted within each arrondissement affected by the classification proposal. 
Regarding the allocation of logging titles: 
•    Within the non-permanent forest domain, all plans to establish a vente de coupe permit must be announced in advance to the public in an annual vente de coupe planning document. This is particularly important as communities have a right of pre-emption over this land, which they can exercise to request that community forests are established instead.
•    All tender procedures opening a forest area up to logging (vente de coupe permits and operating agreements for UFAs) are also disclosed and widely circulated (Art. 51.3 Decree n°95-531). 
The communities are then involved in the management of the areas classified in the permanent forest domain (UFA and council forests) via a forest-farmer committee (comité paysans-forêt) (Decision n°1354), which is a body representing the community under the supervision of the forest administration. This committee must be regularly informed of any forest issues and is responsible for passing this information on to the relevant community. It is also responsible for helping to draft the forest management plans and for carrying out forest works and checking for illegal harvesting.
User rights
The Cameroonian forest law stipulates that user or customary rights are “those held by local populations to exploit all forest, wildlife and fishing resources, with the exception of protected species, for their personal use.” They may be “temporarily or permanently suspended when the need arises for reasons of public interest” (Art. 8 of Law n°95/01).
These user rights stand regardless of the ownership or management system applied to a forest area for the production of timber. The law notably guarantees that normal user rights are maintained in areas classified in the permanent forest domain (UFA), unless they are contrary to the objectives assigned to the forest, in which case compensation is awarded (Art. 26 of Law n°94/01). Furthermore, whilst the forest management plan is being drafted, the forest-farmer committee also helps to define and regulate which user rights are compatible with the management objectives (Decision n°1354).
Communities must respect the trade rules in force when benefiting from the sale of forest products.
The modalities for exercising user rights were supposed to have been laid down by a decree, however no such decree has been adopted as of yet. 
Social obligations of the logging operator
All logging operators with a forest title must contribute to the completion of social and economic infrastructure, as defined in the specifications: the communities and logging operator agree on what social and economic obligations are to be fulfilled during the information meeting held prior to the start of logging activities. Requests from the community are assessed and selected by the administration. As a last resort, the logging operator chooses which requests it thinks are suitable and must then execute them. They are recorded in the minutes from the information meeting and again in the logging title specifications (operating agreement, vente de coupe permit, ARB or AEB).
Rights to financial income generated by the harvesting of forest resources
Local communities neighbouring a forest title have a right to the financial income generated by the exploitation of said title. 
For UFAs and vente de coupe permits, this income includes a percentage of the Annual Forestry Royalty (RFA) (90% goes to the state, the council within which the concession/vente de coupe is located and the tax authority, and the remaining 10% goes to the local communities).
The income from harvesting in council forests is distributed between the council and the local communities (Art. 5 of Joint Order n°76). 
100% of the income generated from community forests goes to the communities concerned and must be used in compliance with the provisions of the simplified management programme for said forest (Art. 7 of Joint Order n°76).
A local management committee oversees the management of income reserved for neighbouring communities (Art. 15 of Joint Order n°76).
 
Applicable legislation
  • Decision n°1354/D/MINEF/CAB of 26 November 1999 establishing the procedures for classifying forests in the permanent forest domain in the Republic of the Cameroon., 1999.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Joint order n°076 MINATD/MINFI/MINFOF of 26 June 2012 laying down conditions for the planning, use and monitoring of the management of forest and wildlife revenue allocated to councils and local communities, 2012.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0518/MINEF/CAB of 21 December 2001 giving priority to neighbouring village communities for attribution of any forest that may be developed into a community forest;, 2001.
VIEW LESS
1.13 Customary rights
Last updated on 2021-12-15 The provisions of the specifications of the logging title relating to local communities (social obligations) are not complied with Specified RISK
The provisions of the specifications of the logging title relating to local communities (social obligations) are not complied with (IM/AGRECO-CEW, 2010, SNOIE, 2018);... VIEW MORE

The provisions of the specifications of the logging title relating to local communities (social obligations) are not complied with (IM/AGRECO-CEW, 2010, SNOIE, 2018);

References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationField verification
1
Verify Title specifications
2
Verify Documents that prove that the socio-economic infrastructure provided for has been completed
3
Visit Harvesting site
Check that the socio-economic infrastructure is being or has been completed
Description of legal requirements
Provisions relating to local communities shall be implemented.
VIEW MORE
The regulations grant local communities (1) rights to information, (2) user rights and (3) rights to the financial income generated by the harvesting of forest resources.
The regulations recognise all “populations who live or reside within or near any forest subject to harvesting activities, who have user rights or customary rights within such forest” (Joint Order n°76, Art. 2) as local communities with the above rights.
Finally, communities also have the right to erect a community forest and to manage and exploit such forest. Community forests are allocated through a collective process. The modalities for managing community forests are outlined in the management agreement concluded with the state, and in the simplified management programme. They are governed by the standards applicable to community forest management.
Right to information
The regulations stipulate that communities must be taken into consideration in all decisions regarding forests. Administrations must consult the communities on all management decisions both in the permanent forest domain and the non-permanent forest domain. 
Communities take part in forest area classification decisions by raising any objections during the dedicated period following the publication of the public notice. An awareness meeting is then conducted within each arrondissement affected by the classification proposal. 
Regarding the allocation of logging titles: 
•    Within the non-permanent forest domain, all plans to establish a vente de coupe permit must be announced in advance to the public in an annual vente de coupe planning document. This is particularly important as communities have a right of pre-emption over this land, which they can exercise to request that community forests are established instead.
•    All tender procedures opening a forest area up to logging (vente de coupe permits and operating agreements for UFAs) are also disclosed and widely circulated (Art. 51.3 Decree n°95-531). 
The communities are then involved in the management of the areas classified in the permanent forest domain (UFA and council forests) via a forest-farmer committee (comité paysans-forêt) (Decision n°1354), which is a body representing the community under the supervision of the forest administration. This committee must be regularly informed of any forest issues and is responsible for passing this information on to the relevant community. It is also responsible for helping to draft the forest management plans and for carrying out forest works and checking for illegal harvesting.
User rights
The Cameroonian forest law stipulates that user or customary rights are “those held by local populations to exploit all forest, wildlife and fishing resources, with the exception of protected species, for their personal use.” They may be “temporarily or permanently suspended when the need arises for reasons of public interest” (Art. 8 of Law n°95/01).
These user rights stand regardless of the ownership or management system applied to a forest area for the production of timber. The law notably guarantees that normal user rights are maintained in areas classified in the permanent forest domain (UFA), unless they are contrary to the objectives assigned to the forest, in which case compensation is awarded (Art. 26 of Law n°94/01). Furthermore, whilst the forest management plan is being drafted, the forest-farmer committee also helps to define and regulate which user rights are compatible with the management objectives (Decision n°1354).
Communities must respect the trade rules in force when benefiting from the sale of forest products.
The modalities for exercising user rights were supposed to have been laid down by a decree, however no such decree has been adopted as of yet. 
Social obligations of the logging operator
All logging operators with a forest title must contribute to the completion of social and economic infrastructure, as defined in the specifications: the communities and logging operator agree on what social and economic obligations are to be fulfilled during the information meeting held prior to the start of logging activities. Requests from the community are assessed and selected by the administration. As a last resort, the logging operator chooses which requests it thinks are suitable and must then execute them. They are recorded in the minutes from the information meeting and again in the logging title specifications (operating agreement, vente de coupe permit, ARB or AEB).
Rights to financial income generated by the harvesting of forest resources
Local communities neighbouring a forest title have a right to the financial income generated by the exploitation of said title. 
For UFAs and vente de coupe permits, this income includes a percentage of the Annual Forestry Royalty (RFA) (90% goes to the state, the council within which the concession/vente de coupe is located and the tax authority, and the remaining 10% goes to the local communities).
The income from harvesting in council forests is distributed between the council and the local communities (Art. 5 of Joint Order n°76). 
100% of the income generated from community forests goes to the communities concerned and must be used in compliance with the provisions of the simplified management programme for said forest (Art. 7 of Joint Order n°76).
A local management committee oversees the management of income reserved for neighbouring communities (Art. 15 of Joint Order n°76).
 
Applicable legislation
  • Decision n°1354/D/MINEF/CAB of 26 November 1999 establishing the procedures for classifying forests in the permanent forest domain in the Republic of the Cameroon., 1999.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Joint order n°076 MINATD/MINFI/MINFOF of 26 June 2012 laying down conditions for the planning, use and monitoring of the management of forest and wildlife revenue allocated to councils and local communities, 2012.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0518/MINEF/CAB of 21 December 2001 giving priority to neighbouring village communities for attribution of any forest that may be developed into a community forest;, 2001.
VIEW LESS
1.13 Customary rights
Last updated on 2021-12-15 Local communities do not receive the percentage of the Annual Forestry Royalty (RFA) they are owed, or the funds allocated to local communities are embezzled Specified RISK
The following risks of illegality are present in Cameroon:For State, council and national forests•    Logging is conducted without a meeting having been held to inform the communities and/or without the public circulation of notices and calls for tender (Kamkuimo et al., 2013, FERN, 2014, Chatham House, 2015);•    The provisions of the specifications of the logging title relating to local communities (social obligations) are not complie... VIEW MOREThe following risks of illegality are present in Cameroon:
For State, council and national forests
•    Logging is conducted without a meeting having been held to inform the communities and/or without the public circulation of notices and calls for tender (Kamkuimo et al., 2013, FERN, 2014, Chatham House, 2015);
•    The provisions of the specifications of the logging title relating to local communities (social obligations) are not complied with (IM/AGRECO-CEW, 2010, SNOIE, 2018);
•    The communities do not receive the financial income provided for by the regulations, the main reasons being that the forestry royalty or felling tax is not paid by the logging operator or the funds are embezzled by the entities responsible for the management thereof (government officials, mayors, community representatives) (Expert consultation, 2019);
In addition, for State and council forests
•    Communities are not consulted during the drawing up of the forest management plan and micro-zoning of forests in the permanent forest domain (Chatham House, 2015);
•    Communities are unable to exercise their customary rights as a result of the logging activities or the concessionaire bans them from even accessing the UFA (Expert consultation, 2019);
•    Communities are not consulted prior to the allocation of the title (Chatham House, 2015). In particular, the forest-farmer committee provided for by Decision n°1354 does not fulfil its role due to a lack of resources available to facilitate the running thereof (Expert consultation, 2019). The regulations do not actually provide for the resources that enable this committee to fulfil its role of supervising and contributing to the management decisions on zoning, etc.
For community forests
There is a high risk that the legal framework is manipulated through the creation and exploitation of community forests, without any real involvement of the local populations or impacts on local development (MEF, 2006). The development of artisanal logging in community forests, the fact that the wood is not subject to the RFA and felling tax, and poor administrative control all makes this a lucrative opportunity for economic operators.
 
References
VIEW LESS
The risk applies to the following source types
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Proof of payment
Collect proof of payment and documents relating to the management of the percentage of the RFA or felling tax reserved for the local community (local management committee).
Description of legal requirements
Local communities shall receive the RFA share they are entitled to.
VIEW MORE
The regulations grant local communities (1) rights to information, (2) user rights and (3) rights to the financial income generated by the harvesting of forest resources.
The regulations recognise all “populations who live or reside within or near any forest subject to harvesting activities, who have user rights or customary rights within such forest” (Joint Order n°76, Art. 2) as local communities with the above rights.
Finally, communities also have the right to erect a community forest and to manage and exploit such forest. Community forests are allocated through a collective process. The modalities for managing community forests are outlined in the management agreement concluded with the state, and in the simplified management programme. They are governed by the standards applicable to community forest management.
Right to information
The regulations stipulate that communities must be taken into consideration in all decisions regarding forests. Administrations must consult the communities on all management decisions both in the permanent forest domain and the non-permanent forest domain. 
Communities take part in forest area classification decisions by raising any objections during the dedicated period following the publication of the public notice. An awareness meeting is then conducted within each arrondissement affected by the classification proposal. 
Regarding the allocation of logging titles: 
•    Within the non-permanent forest domain, all plans to establish a vente de coupe permit must be announced in advance to the public in an annual vente de coupe planning document. This is particularly important as communities have a right of pre-emption over this land, which they can exercise to request that community forests are established instead.
•    All tender procedures opening a forest area up to logging (vente de coupe permits and operating agreements for UFAs) are also disclosed and widely circulated (Art. 51.3 Decree n°95-531). 
The communities are then involved in the management of the areas classified in the permanent forest domain (UFA and council forests) via a forest-farmer committee (comité paysans-forêt) (Decision n°1354), which is a body representing the community under the supervision of the forest administration. This committee must be regularly informed of any forest issues and is responsible for passing this information on to the relevant community. It is also responsible for helping to draft the forest management plans and for carrying out forest works and checking for illegal harvesting.
User rights
The Cameroonian forest law stipulates that user or customary rights are “those held by local populations to exploit all forest, wildlife and fishing resources, with the exception of protected species, for their personal use.” They may be “temporarily or permanently suspended when the need arises for reasons of public interest” (Art. 8 of Law n°95/01).
These user rights stand regardless of the ownership or management system applied to a forest area for the production of timber. The law notably guarantees that normal user rights are maintained in areas classified in the permanent forest domain (UFA), unless they are contrary to the objectives assigned to the forest, in which case compensation is awarded (Art. 26 of Law n°94/01). Furthermore, whilst the forest management plan is being drafted, the forest-farmer committee also helps to define and regulate which user rights are compatible with the management objectives (Decision n°1354).
Communities must respect the trade rules in force when benefiting from the sale of forest products.
The modalities for exercising user rights were supposed to have been laid down by a decree, however no such decree has been adopted as of yet. 
Social obligations of the logging operator
All logging operators with a forest title must contribute to the completion of social and economic infrastructure, as defined in the specifications: the communities and logging operator agree on what social and economic obligations are to be fulfilled during the information meeting held prior to the start of logging activities. Requests from the community are assessed and selected by the administration. As a last resort, the logging operator chooses which requests it thinks are suitable and must then execute them. They are recorded in the minutes from the information meeting and again in the logging title specifications (operating agreement, vente de coupe permit, ARB or AEB).
Rights to financial income generated by the harvesting of forest resources
Local communities neighbouring a forest title have a right to the financial income generated by the exploitation of said title. 
For UFAs and vente de coupe permits, this income includes a percentage of the Annual Forestry Royalty (RFA) (90% goes to the state, the council within which the concession/vente de coupe is located and the tax authority, and the remaining 10% goes to the local communities).
The income from harvesting in council forests is distributed between the council and the local communities (Art. 5 of Joint Order n°76). 
100% of the income generated from community forests goes to the communities concerned and must be used in compliance with the provisions of the simplified management programme for said forest (Art. 7 of Joint Order n°76).
A local management committee oversees the management of income reserved for neighbouring communities (Art. 15 of Joint Order n°76).
 
Applicable legislation
  • Decision n°1354/D/MINEF/CAB of 26 November 1999 establishing the procedures for classifying forests in the permanent forest domain in the Republic of the Cameroon., 1999.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Joint order n°076 MINATD/MINFI/MINFOF of 26 June 2012 laying down conditions for the planning, use and monitoring of the management of forest and wildlife revenue allocated to councils and local communities, 2012.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0518/MINEF/CAB of 21 December 2001 giving priority to neighbouring village communities for attribution of any forest that may be developed into a community forest;, 2001.
VIEW LESS
1.13 Customary rights
Last updated on 2021-12-15 Local communities do not participate in the management of the permanent forest domain (UFAs, council forests), and in particular that no functioning Forest-Farmer Committee is in place Specified RISK
In addition, for State and council forests•   Communities are not consulted during the drawing up of the forest management plan and micro-zoning of forests in the permanent forest domain (Chatham House, 2015);•   Communities are unable to exercise their customary rights as a result of the logging activities or the concessionaire bans them from even accessing the UFA (Expert consultation, 2019);•   Communities are not consulted prio... VIEW MORE

In addition, for State and council forests

•   Communities are not consulted during the drawing up of the forest management plan and micro-zoning of forests in the permanent forest domain (Chatham House, 2015);

•   Communities are unable to exercise their customary rights as a result of the logging activities or the concessionaire bans them from even accessing the UFA (Expert consultation, 2019);

•   Communities are not consulted prior to the allocation of the title (Chatham House, 2015). In particular, the forest-farmer committee provided for by Decision n°1354 does not fulfil its role due to a lack of resources available to facilitate the running thereof (Expert consultation, 2019). The regulations do not actually provide for the resources that enable this committee to fulfil its role of supervising and contributing to the management decisions on zoning, etc.

For community forests

There is a high risk that the legal framework is manipulated through the creation and exploitation of community forests, without any real involvement of the local populations or impacts on local development (MEF, 2006). The development of artisanal logging in community forests, the fact that the wood is not subject to the RFA and felling tax, and poor administrative control all makes this a lucrative opportunity for economic operators.

References
VIEW LESS
The risk applies to the following source types
  • Council forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Documents that prove that the forest-farmer committee is up and running
Description of legal requirements
Local communities shall participate to the forest management, in particular through Forest-Farmer Committees.
VIEW MORE
The regulations grant local communities (1) rights to information, (2) user rights and (3) rights to the financial income generated by the harvesting of forest resources.
The regulations recognise all “populations who live or reside within or near any forest subject to harvesting activities, who have user rights or customary rights within such forest” (Joint Order n°76, Art. 2) as local communities with the above rights.
Finally, communities also have the right to erect a community forest and to manage and exploit such forest. Community forests are allocated through a collective process. The modalities for managing community forests are outlined in the management agreement concluded with the state, and in the simplified management programme. They are governed by the standards applicable to community forest management.
Right to information
The regulations stipulate that communities must be taken into consideration in all decisions regarding forests. Administrations must consult the communities on all management decisions both in the permanent forest domain and the non-permanent forest domain. 
Communities take part in forest area classification decisions by raising any objections during the dedicated period following the publication of the public notice. An awareness meeting is then conducted within each arrondissement affected by the classification proposal. 
Regarding the allocation of logging titles: 
•    Within the non-permanent forest domain, all plans to establish a vente de coupe permit must be announced in advance to the public in an annual vente de coupe planning document. This is particularly important as communities have a right of pre-emption over this land, which they can exercise to request that community forests are established instead.
•    All tender procedures opening a forest area up to logging (vente de coupe permits and operating agreements for UFAs) are also disclosed and widely circulated (Art. 51.3 Decree n°95-531). 
The communities are then involved in the management of the areas classified in the permanent forest domain (UFA and council forests) via a forest-farmer committee (comité paysans-forêt) (Decision n°1354), which is a body representing the community under the supervision of the forest administration. This committee must be regularly informed of any forest issues and is responsible for passing this information on to the relevant community. It is also responsible for helping to draft the forest management plans and for carrying out forest works and checking for illegal harvesting.
User rights
The Cameroonian forest law stipulates that user or customary rights are “those held by local populations to exploit all forest, wildlife and fishing resources, with the exception of protected species, for their personal use.” They may be “temporarily or permanently suspended when the need arises for reasons of public interest” (Art. 8 of Law n°95/01).
These user rights stand regardless of the ownership or management system applied to a forest area for the production of timber. The law notably guarantees that normal user rights are maintained in areas classified in the permanent forest domain (UFA), unless they are contrary to the objectives assigned to the forest, in which case compensation is awarded (Art. 26 of Law n°94/01). Furthermore, whilst the forest management plan is being drafted, the forest-farmer committee also helps to define and regulate which user rights are compatible with the management objectives (Decision n°1354).
Communities must respect the trade rules in force when benefiting from the sale of forest products.
The modalities for exercising user rights were supposed to have been laid down by a decree, however no such decree has been adopted as of yet. 
Social obligations of the logging operator
All logging operators with a forest title must contribute to the completion of social and economic infrastructure, as defined in the specifications: the communities and logging operator agree on what social and economic obligations are to be fulfilled during the information meeting held prior to the start of logging activities. Requests from the community are assessed and selected by the administration. As a last resort, the logging operator chooses which requests it thinks are suitable and must then execute them. They are recorded in the minutes from the information meeting and again in the logging title specifications (operating agreement, vente de coupe permit, ARB or AEB).
Rights to financial income generated by the harvesting of forest resources
Local communities neighbouring a forest title have a right to the financial income generated by the exploitation of said title. 
For UFAs and vente de coupe permits, this income includes a percentage of the Annual Forestry Royalty (RFA) (90% goes to the state, the council within which the concession/vente de coupe is located and the tax authority, and the remaining 10% goes to the local communities).
The income from harvesting in council forests is distributed between the council and the local communities (Art. 5 of Joint Order n°76). 
100% of the income generated from community forests goes to the communities concerned and must be used in compliance with the provisions of the simplified management programme for said forest (Art. 7 of Joint Order n°76).
A local management committee oversees the management of income reserved for neighbouring communities (Art. 15 of Joint Order n°76).
 
Applicable legislation
  • Decision n°1354/D/MINEF/CAB of 26 November 1999 establishing the procedures for classifying forests in the permanent forest domain in the Republic of the Cameroon., 1999.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Joint order n°076 MINATD/MINFI/MINFOF of 26 June 2012 laying down conditions for the planning, use and monitoring of the management of forest and wildlife revenue allocated to councils and local communities, 2012.
  • Order n°0518/MINEF/CAB of 21 December 2001 giving priority to neighbouring village communities for attribution of any forest that may be developed into a community forest;, 2001.
VIEW LESS
1.13 Customary rights
Last updated on 2021-12-15 The user rights in force are not respected and/or local communities are unlawfully banned from accessing the forest Specified RISK
The following risks of illegality are present in Cameroon:For State, council and national forests•    Logging is conducted without a meeting having been held to inform the communities and/or without the public circulation of notices and calls for tender (Kamkuimo et al., 2013, FERN, 2014, Chatham House, 2015);•    The provisions of the specifications of the logging title relating to local communities (social obligations) are not complie... VIEW MOREThe following risks of illegality are present in Cameroon:
For State, council and national forests
•    Logging is conducted without a meeting having been held to inform the communities and/or without the public circulation of notices and calls for tender (Kamkuimo et al., 2013, FERN, 2014, Chatham House, 2015);
•    The provisions of the specifications of the logging title relating to local communities (social obligations) are not complied with (IM/AGRECO-CEW, 2010, SNOIE, 2018);
•    The communities do not receive the financial income provided for by the regulations, the main reasons being that the forestry royalty or felling tax is not paid by the logging operator or the funds are embezzled by the entities responsible for the management thereof (government officials, mayors, community representatives) (Expert consultation, 2019);
In addition, for State and council forests
•    Communities are not consulted during the drawing up of the forest management plan and micro-zoning of forests in the permanent forest domain (Chatham House, 2015);
•    Communities are unable to exercise their customary rights as a result of the logging activities or the concessionaire bans them from even accessing the UFA (Expert consultation, 2019);
•    Communities are not consulted prior to the allocation of the title (Chatham House, 2015). In particular, the forest-farmer committee provided for by Decision n°1354 does not fulfil its role due to a lack of resources available to facilitate the running thereof (Expert consultation, 2019). The regulations do not actually provide for the resources that enable this committee to fulfil its role of supervising and contributing to the management decisions on zoning, etc.
For community forests
There is a high risk that the legal framework is manipulated through the creation and exploitation of community forests, without any real involvement of the local populations or impacts on local development (MEF, 2006). The development of artisanal logging in community forests, the fact that the wood is not subject to the RFA and felling tax, and poor administrative control all makes this a lucrative opportunity for economic operators.
 
References
VIEW LESS
The risk applies to the following source types
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Consult local communities access to the forest on the exercise of their users’ rights.
Description of legal requirements
Local communities shall have access to the forest in line with their users’ rights.
VIEW MORE
The regulations grant local communities (1) rights to information, (2) user rights and (3) rights to the financial income generated by the harvesting of forest resources.
The regulations recognise all “populations who live or reside within or near any forest subject to harvesting activities, who have user rights or customary rights within such forest” (Joint Order n°76, Art. 2) as local communities with the above rights.
Finally, communities also have the right to erect a community forest and to manage and exploit such forest. Community forests are allocated through a collective process. The modalities for managing community forests are outlined in the management agreement concluded with the state, and in the simplified management programme. They are governed by the standards applicable to community forest management.
Right to information
The regulations stipulate that communities must be taken into consideration in all decisions regarding forests. Administrations must consult the communities on all management decisions both in the permanent forest domain and the non-permanent forest domain. 
Communities take part in forest area classification decisions by raising any objections during the dedicated period following the publication of the public notice. An awareness meeting is then conducted within each arrondissement affected by the classification proposal. 
Regarding the allocation of logging titles: 
•    Within the non-permanent forest domain, all plans to establish a vente de coupe permit must be announced in advance to the public in an annual vente de coupe planning document. This is particularly important as communities have a right of pre-emption over this land, which they can exercise to request that community forests are established instead.
•    All tender procedures opening a forest area up to logging (vente de coupe permits and operating agreements for UFAs) are also disclosed and widely circulated (Art. 51.3 Decree n°95-531). 
The communities are then involved in the management of the areas classified in the permanent forest domain (UFA and council forests) via a forest-farmer committee (comité paysans-forêt) (Decision n°1354), which is a body representing the community under the supervision of the forest administration. This committee must be regularly informed of any forest issues and is responsible for passing this information on to the relevant community. It is also responsible for helping to draft the forest management plans and for carrying out forest works and checking for illegal harvesting.
User rights
The Cameroonian forest law stipulates that user or customary rights are “those held by local populations to exploit all forest, wildlife and fishing resources, with the exception of protected species, for their personal use.” They may be “temporarily or permanently suspended when the need arises for reasons of public interest” (Art. 8 of Law n°95/01).
These user rights stand regardless of the ownership or management system applied to a forest area for the production of timber. The law notably guarantees that normal user rights are maintained in areas classified in the permanent forest domain (UFA), unless they are contrary to the objectives assigned to the forest, in which case compensation is awarded (Art. 26 of Law n°94/01). Furthermore, whilst the forest management plan is being drafted, the forest-farmer committee also helps to define and regulate which user rights are compatible with the management objectives (Decision n°1354).
Communities must respect the trade rules in force when benefiting from the sale of forest products.
The modalities for exercising user rights were supposed to have been laid down by a decree, however no such decree has been adopted as of yet. 
Social obligations of the logging operator
All logging operators with a forest title must contribute to the completion of social and economic infrastructure, as defined in the specifications: the communities and logging operator agree on what social and economic obligations are to be fulfilled during the information meeting held prior to the start of logging activities. Requests from the community are assessed and selected by the administration. As a last resort, the logging operator chooses which requests it thinks are suitable and must then execute them. They are recorded in the minutes from the information meeting and again in the logging title specifications (operating agreement, vente de coupe permit, ARB or AEB).
Rights to financial income generated by the harvesting of forest resources
Local communities neighbouring a forest title have a right to the financial income generated by the exploitation of said title. 
For UFAs and vente de coupe permits, this income includes a percentage of the Annual Forestry Royalty (RFA) (90% goes to the state, the council within which the concession/vente de coupe is located and the tax authority, and the remaining 10% goes to the local communities).
The income from harvesting in council forests is distributed between the council and the local communities (Art. 5 of Joint Order n°76). 
100% of the income generated from community forests goes to the communities concerned and must be used in compliance with the provisions of the simplified management programme for said forest (Art. 7 of Joint Order n°76).
A local management committee oversees the management of income reserved for neighbouring communities (Art. 15 of Joint Order n°76).
 
Applicable legislation
  • Decision n°1354/D/MINEF/CAB of 26 November 1999 establishing the procedures for classifying forests in the permanent forest domain in the Republic of the Cameroon., 1999.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Joint order n°076 MINATD/MINFI/MINFOF of 26 June 2012 laying down conditions for the planning, use and monitoring of the management of forest and wildlife revenue allocated to councils and local communities, 2012.
  • Order n°0518/MINEF/CAB of 21 December 2001 giving priority to neighbouring village communities for attribution of any forest that may be developed into a community forest;, 2001.
VIEW LESS
1.13 Customary rights
Last updated on 2021-12-15 The forest is managed and logged without any real implication of local communities Specified RISK
The following risks of illegality are present in Cameroon:For State, council and national forests•    Logging is conducted without a meeting having been held to inform the communities and/or without the public circulation of notices and calls for tender (Kamkuimo et al., 2013, FERN, 2014, Chatham House, 2015);•    The provisions of the specifications of the logging title relating to local communities (social obligations) are not complie... VIEW MOREThe following risks of illegality are present in Cameroon:
For State, council and national forests
•    Logging is conducted without a meeting having been held to inform the communities and/or without the public circulation of notices and calls for tender (Kamkuimo et al., 2013, FERN, 2014, Chatham House, 2015);
•    The provisions of the specifications of the logging title relating to local communities (social obligations) are not complied with (IM/AGRECO-CEW, 2010, SNOIE, 2018);
•    The communities do not receive the financial income provided for by the regulations, the main reasons being that the forestry royalty or felling tax is not paid by the logging operator or the funds are embezzled by the entities responsible for the management thereof (government officials, mayors, community representatives) (Expert consultation, 2019);
In addition, for State and council forests
•    Communities are not consulted during the drawing up of the forest management plan and micro-zoning of forests in the permanent forest domain (Chatham House, 2015);
•    Communities are unable to exercise their customary rights as a result of the logging activities or the concessionaire bans them from even accessing the UFA (Expert consultation, 2019);
•    Communities are not consulted prior to the allocation of the title (Chatham House, 2015). In particular, the forest-farmer committee provided for by Decision n°1354 does not fulfil its role due to a lack of resources available to facilitate the running thereof (Expert consultation, 2019). The regulations do not actually provide for the resources that enable this committee to fulfil its role of supervising and contributing to the management decisions on zoning, etc.
For community forests
There is a high risk that the legal framework is manipulated through the creation and exploitation of community forests, without any real involvement of the local populations or impacts on local development (MEF, 2006). The development of artisanal logging in community forests, the fact that the wood is not subject to the RFA and felling tax, and poor administrative control all makes this a lucrative opportunity for economic operators.
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
Risk mitigation options
Field verification
1
Visit Local and neighbouring communities
Verify the implication of local communities as prescribed by the applicable regulatory framework.
Description of legal requirements
Community forests shall be managed and logged with the effective implication of local communities.
VIEW MORE
The regulations grant local communities (1) rights to information, (2) user rights and (3) rights to the financial income generated by the harvesting of forest resources.
The regulations recognise all “populations who live or reside within or near any forest subject to harvesting activities, who have user rights or customary rights within such forest” (Joint Order n°76, Art. 2) as local communities with the above rights.
Finally, communities also have the right to erect a community forest and to manage and exploit such forest. Community forests are allocated through a collective process. The modalities for managing community forests are outlined in the management agreement concluded with the state, and in the simplified management programme. They are governed by the standards applicable to community forest management.
Right to information
The regulations stipulate that communities must be taken into consideration in all decisions regarding forests. Administrations must consult the communities on all management decisions both in the permanent forest domain and the non-permanent forest domain. 
Communities take part in forest area classification decisions by raising any objections during the dedicated period following the publication of the public notice. An awareness meeting is then conducted within each arrondissement affected by the classification proposal. 
Regarding the allocation of logging titles: 
•    Within the non-permanent forest domain, all plans to establish a vente de coupe permit must be announced in advance to the public in an annual vente de coupe planning document. This is particularly important as communities have a right of pre-emption over this land, which they can exercise to request that community forests are established instead.
•    All tender procedures opening a forest area up to logging (vente de coupe permits and operating agreements for UFAs) are also disclosed and widely circulated (Art. 51.3 Decree n°95-531). 
The communities are then involved in the management of the areas classified in the permanent forest domain (UFA and council forests) via a forest-farmer committee (comité paysans-forêt) (Decision n°1354), which is a body representing the community under the supervision of the forest administration. This committee must be regularly informed of any forest issues and is responsible for passing this information on to the relevant community. It is also responsible for helping to draft the forest management plans and for carrying out forest works and checking for illegal harvesting.
User rights
The Cameroonian forest law stipulates that user or customary rights are “those held by local populations to exploit all forest, wildlife and fishing resources, with the exception of protected species, for their personal use.” They may be “temporarily or permanently suspended when the need arises for reasons of public interest” (Art. 8 of Law n°95/01).
These user rights stand regardless of the ownership or management system applied to a forest area for the production of timber. The law notably guarantees that normal user rights are maintained in areas classified in the permanent forest domain (UFA), unless they are contrary to the objectives assigned to the forest, in which case compensation is awarded (Art. 26 of Law n°94/01). Furthermore, whilst the forest management plan is being drafted, the forest-farmer committee also helps to define and regulate which user rights are compatible with the management objectives (Decision n°1354).
Communities must respect the trade rules in force when benefiting from the sale of forest products.
The modalities for exercising user rights were supposed to have been laid down by a decree, however no such decree has been adopted as of yet. 
Social obligations of the logging operator
All logging operators with a forest title must contribute to the completion of social and economic infrastructure, as defined in the specifications: the communities and logging operator agree on what social and economic obligations are to be fulfilled during the information meeting held prior to the start of logging activities. Requests from the community are assessed and selected by the administration. As a last resort, the logging operator chooses which requests it thinks are suitable and must then execute them. They are recorded in the minutes from the information meeting and again in the logging title specifications (operating agreement, vente de coupe permit, ARB or AEB).
Rights to financial income generated by the harvesting of forest resources
Local communities neighbouring a forest title have a right to the financial income generated by the exploitation of said title. 
For UFAs and vente de coupe permits, this income includes a percentage of the Annual Forestry Royalty (RFA) (90% goes to the state, the council within which the concession/vente de coupe is located and the tax authority, and the remaining 10% goes to the local communities).
The income from harvesting in council forests is distributed between the council and the local communities (Art. 5 of Joint Order n°76). 
100% of the income generated from community forests goes to the communities concerned and must be used in compliance with the provisions of the simplified management programme for said forest (Art. 7 of Joint Order n°76).
A local management committee oversees the management of income reserved for neighbouring communities (Art. 15 of Joint Order n°76).
 
Applicable legislation
  • Decision n°1354/D/MINEF/CAB of 26 November 1999 establishing the procedures for classifying forests in the permanent forest domain in the Republic of the Cameroon., 1999.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Joint order n°076 MINATD/MINFI/MINFOF of 26 June 2012 laying down conditions for the planning, use and monitoring of the management of forest and wildlife revenue allocated to councils and local communities, 2012.
  • Order n°0518/MINEF/CAB of 21 December 2001 giving priority to neighbouring village communities for attribution of any forest that may be developed into a community forest;, 2001.
VIEW LESS
1.14 Free prior and informed consent
Last updated on 2021-12-15 Not applicable Not Applicable
In terms of classifying land in the permanent forest domain, the law stipulates that local communities must be made aware of but does not require their explicit consent to land alienation.... VIEW MORE

In terms of classifying land in the permanent forest domain, the law stipulates that local communities must be made aware of but does not require their explicit consent to land alienation. VIEW LESS

Description of legal requirements
In terms of classifying land in the permanent forest domain, the law stipulates that local communities must be made aware of but does not require their explicit consent to land alienation.
VIEW MORE
State forests (UFAs) and council forests
In terms of classifying land in the permanent forest domain, the law stipulates that local communities must be made aware of but does not require their explicit consent to land alienation. Local populations are informed of all land classification plans by way of a public notice (Art. 2.2, Decision n°1354) and take part in an awareness meeting organised by the forest administration in each village (Art. 2.3, Decision n°1354). They may express any reservations or objections in relation to the classification proposal before a deadline specified by the public notice. If necessary, checks or conciliation actions may be carried out on the ground. The Committee shall rule freely on all matters relating to the classification proposal. There are therefore no mandatory requirements regarding prior consent.
National forests attributed by way of a vente de coupe permits
Regarding the allocation of logging permits within national forests, the law only stipulates that communities can declare their intention to create a community forest before a vente de coupe logging permit is allocated through a tender procedure (Art. 6(3), Order n°0518). Only forests that are not subject to any requests from local village communities can be allocated through vente de coupe permits. However, there are various prerequisites for the establishment of a community forest (the community must constitute a legal entity, submission of an application file and progress reports on the status of the application). There is therefore no technical consent procedure as such.
 
Applicable legislation
  • Decision n°1354/D/MINEF/CAB of 26 November 1999 establishing the procedures for classifying forests in the permanent forest domain in the Republic of the Cameroon., 1999.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0518/MINEF/CAB of 21 December 2001 giving priority to neighbouring village communities for attribution of any forest that may be developed into a community forest;, 2001.
VIEW LESS
1.15 Indigenous/traditional peoples rights
Last updated on 2021-12-15 Not applicable Not Applicable
Cameroonian law does not specify what is defined as an indigenous population.... VIEW MORE

Cameroonian law does not specify what is defined as an indigenous population. VIEW LESS

Description of legal requirements
Cameroonian law does not specify what is defined as an indigenous population.
VIEW MORE
The Constitution of Cameroon stipulates that “the state shall ensure the protection of minorities and preserve the rights of indigenous populations in compliance with the law [...]”. However, Cameroonian law does not specify what is defined as an indigenous population. 
The commonly accepted meaning of the term in Cameroon refers to “indigenous” in the broadest sense, covering populations who originally or whose ancestors occupied a region of the country (Ngando Sandjè, R., 2013). It is therefore applied in a much wider sense than the definition commonly used under the United Nations framework, which links the term “indigenous peoples” to highly marginalised populations with an identity and way of life that are clearly different from other segments of society. The Constitution also talks about indigenous “populations” and not “peoples”, which would appear to substantiate this semantic distinction. The UN definition may notably correspond in Cameroon to Pygmy, Bororo, and Montagnard populations, and populations living on borders, islands and coves (Ngando Sandjè, R., 2013).
The Forest Code does not provide for a separate right for indigenous peoples within the meaning of the United Nations definition and for local and neighbouring populations. It provides for the preservation of normal user rights in forest areas classified in the permanent forest domain, unless they are contrary to the objectives assigned to the forest, in which case compensation must be granted (Law n°94/01, Art. 26) 
 
Applicable legislation
  • Constitution of 2 June 1972 as revised by Constitutional Law n° 96/06 of 18 January 1996, paragraph 2 of the preamble;, 1972.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
VIEW LESS
1.16 Classification of species, quantities, qualities
Last updated on 2021-12-15 False declarations are made on the wood transport documents facilitated by inadequate checks and a high risk of corruption by the officials in charge of the checks Specified RISK
There is a risk that site records are not kept properly (IM/AGRECO-CEW, n°52010).There is also a documented risk of false declarations being made on the transport documents, both for species and volumes. False declarations notably facilitate the payment of lower taxes and the sale of non-authorised species (MEF, 2006). False declarations are facilitated by (1) a lack of resources available to officials in charge of carrying out the checks, and ... VIEW MOREThere is a risk that site records are not kept properly (IM/AGRECO-CEW, n°52010).
There is also a documented risk of false declarations being made on the transport documents, both for species and volumes. False declarations notably facilitate the payment of lower taxes and the sale of non-authorised species (MEF, 2006). 
False declarations are facilitated by (1) a lack of resources available to officials in charge of carrying out the checks, and few checks carried out on how the felling and transport documents have been filled out and (2) potential corruption amongst the officials responsible for conducting the on-site and en-route checks (Expert consultation, 2019). 
False declarations made with the aim of reducing the amount of taxes due have also been documented during the export process.
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Annual operating permit (UFAs) or annual logging certificate (community forests) or Vente de coupe certificate
Check the following points: that the information presented on the various transport documents for logs and sawn timber is coherent; that the species stated in the export/export sale documents are the same as those that appear on the transport document; that the species sold are the same as the species declared in the transport and sale documents (conduct a microscopic analysis of the wood if necessary.
2
Verify Site log books
Check the following points: that the information presented on the various transport documents for logs and sawn timber is coherent; that the species stated in the export/export sale documents are the same as those that appear on the transport document; that the species sold are the same as the species declared in the transport and sale documents (conduct a microscopic analysis of the wood if necessary.
3
Check the waybills for the transportation of logs and processed wood (samples)
Check the following points: that the information presented on the various transport documents for logs and sawn timber is coherent; that the species stated in the export/export sale documents are the same as those that appear on the transport document; that the species sold are the same as the species declared in the transport and sale documents (conduct a microscopic analysis of the wood if necessary.
4
Verify Annual Logging Certificate (community forests)
5
Verify Vente de coupe certificate
Description of legal requirements
Declarations recorded on wood transport documents shall be authentic
VIEW MORE
All logging title holders must fill out two documents provided by the forest administration: a site log book (DF10) and a waybill for the transportation of logs. These documents are issued in the form of booklets by the forest administration. Each page has a unique number and is stamped by the administration before being used. Each page has several carbon copies for each stakeholder (logger and various forest administration departments).
The forest manager must fill out the site log book (DF10) following each felling operation, notably with the measurements of each block: the large-end diameter, the small-end diameter and the length. The large-end diameter must be measured at chest height (1.3 m from the ground) or 30 cm from the last buttress root. The small-end diameter must be measured either underneath the first large branch or underneath the first visible damage before the crown. The rules for filling out waybills for the transportation of logs are the same as those that apply to site log books (DF10). 
The information provided in the felling and transport documents is used to calculate certain forest taxes, which depend on the species and volumes (felling tax, tax for the transport of wood products). However, this is still a declaration-based system, as the data is not immediately digitised by the forest administration (Système Informatique de Gestion des Informations Forestières, SIGIF). The officials working for the decentralised departments of the Ministry of Forests must regularly check the compliance of the information included in the felling and transport documents. 
Processing unit owners must also record the measurements of the logs/sawn timber in a plant entry booklet and then fill out and use waybills dedicated to the transportation of processed wood. In 2013, the Ministry of Forests stopped systematically delivering plant entry booklets to timber processing unit (unité de transformation du bois, UTB) owners due to a lack of data processing resources and the elimination of a tax that this data was used to calculate. The consequent absence of plant entry data has had a major impact on the traceability of the wood. 
 
Applicable legislation
  • Decision n°0108/D/MINEF/CAB of 9 February 1998 laying down the application of rules for operating in forest areas in the Republic of Cameroon, 1998.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°222 /MINEF of 25 May 2001 establishing the procedures for the development, approval, monitoring and control of the implementation of forest management plans for production forests in the permanent forest domain, 2001.
VIEW LESS
1.17 Trade and transport
Last updated on 2021-12-15 No waybill exists for wood harvested without a permit Specified RISK
The following risks have been identified: •    Wood (with no logging licence) is transported without a waybill (CED-EIA, 2020);•    Waybills (logs and sawn wood) that have not been issued by the Ministry of Forests are used (Expert consultation, 2019). This practice involves illegal printers being contacted to produce the waybills. This is facilitated by the absence of a nationwide system that can ensure authenticity of the waybills pr... VIEW MOREThe following risks have been identified: 
•    Wood (with no logging licence) is transported without a waybill (CED-EIA, 2020);
•    Waybills (logs and sawn wood) that have not been issued by the Ministry of Forests are used (Expert consultation, 2019). This practice involves illegal printers being contacted to produce the waybills. This is facilitated by the absence of a nationwide system that can ensure authenticity of the waybills presented to the officials responsible for verifying them; 
•    Transport documents for logs or sawn wood are used fraudulently. Sometimes, a single waybill is used for several different truckloads, or waybills relating to one title are used to evacuate wood relating to another. It can even go as far as the trafficking of transport documents: commercial entities may purchase waybills issued for a valid logging title and use them to transport wood obtained under other titles or wood without any logging licence at all (Chatham House, 2015, CED-EIA, 2020). This practice is made easier by the administration's poor monitoring of authorised, felled and transported volumes. It is also easy for the owner of a logging title to obtain many more waybills than necessary and to sell some of them on (Mahonghol et al., 2016). Although all source types are affected by this, the trafficking of waybills is particularly high for community forests (IM-FLEG/REM, 2006, MEF, 2006). This practice is also coupled with the use of fraudulent markings on the logs (CED-EIA, 2020);
•    Waybills (logs and sawn wood) are used that have not yet been signed by the Ministry of Forests (IM/AGRECO-CEW, 2010);
•    Waybills are used to evacuate wood after the title’s expiration date (Expert consultation, 2019);
•    There is a particularly high risk that the traceability of wood is lost in break bulk yards (IM-FLEG/REM, 2007) and/or that illegal practices are utilised, such as modifying the markings on the blocks, mixing up wood from different origins, filling out waybills that no longer indicate the origin of the wood, making false declarations about species, loading the wood without the forest and customs administration officials present, etc. 
These practices are facilitated by potential corruption amongst the officials responsible for checking and issuing the waybills. They are also facilitated by the inadequacy of the computer systems in place, which do not allow users to cross-reference the data between authorised volumes, declared volumes and exported volumes per title (IM-FLEG/REM, 2009, Chatham House, 2015, Mahonghol, D. et al., 2016). 
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Check the waybills for the transportation of logs and processed wood (samples)
Description of legal requirements
Wood shall originate from legal source types.
VIEW MORE
The forest administration is responsible for issuing the waybills (wood transport documents). In order to apply for a wood transport document, the following conditions must be fulfilled (Art. 41, 42 of Law n° 94-01 and Art. 35(1), 140(1) of Decree n° 95-531):  
•    The applicant must be in possession of a valid title (UFA, vente de coupe permit, council forest, community forest) or;
•    The applicant must be in possession of a timber processor registration certificate and a supply contract with a forest management body; or
•    The applicant must be the owner of a break bulk yard.
A number of documents must be provided to the forest administration by the applicant (document proving the wood source, proof of payment of taxes, etc.). 
The waybills are issued in the form of waybill booklets, produced at the National Printing Press of Cameroon. Each waybill has a unique identification number and is signed by the administration before being used.
Use of break bulk yards during transport
Due to the increase in trading activities following the arrival of Asian players on the wood export market, numerous “break bulk yards” have been established in major cities. The generalisation of exporting wood in containers, which requires the wood to be placed into containers on a site away from the port, has also contributed to the development of these storage and loading areas.
In response to this trend, the Ministry of Forests has regulated the modalities for the opening, running and renovation of break bulk yards in urban and suburban areas (Decision n°0173/MINFOF). These regulations distinguish break bulk yards intended for storage of logs and sawn wood from sawmill yards located within or close to timber processing units.
Wood can only enter and leave the break bulk yards with a waybill. 
However, break bulk yards are not covered by the Ministry of Forests’ computerised monitoring tool.
 
Applicable legislation
  • Decision n°0173/MINFOF/SG/DF/SDIAF/SAG of 28 April 2016 establishing the modalities for the opening, running and renovation of break bulk yards in urban and suburban areas, 2016.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Report n°0037/C/MINFOF/SG/DF/SDAFF/SEGIP of 3 April 2007., 2007.
VIEW LESS
1.17 Trade and transport
Last updated on 2021-12-15 Wood transport documents obtained illegally are used (non-authentic documents, documents not authenticated by the forest authorities, documents belonging to another logging operator, documents used for multiple truckloads, etc.) Specified RISK
The following risks have been identified: •    Wood (with no logging licence) is transported without a waybill (CED-EIA, 2020);•    Waybills (logs and sawn wood) that have not been issued by the Ministry of Forests are used (Expert consultation, 2019). This practice involves illegal printers being contacted to produce the waybills. This is facilitated by the absence of a nationwide system that can ensure authenticity of the waybills pr... VIEW MOREThe following risks have been identified: 
•    Wood (with no logging licence) is transported without a waybill (CED-EIA, 2020);
•    Waybills (logs and sawn wood) that have not been issued by the Ministry of Forests are used (Expert consultation, 2019). This practice involves illegal printers being contacted to produce the waybills. This is facilitated by the absence of a nationwide system that can ensure authenticity of the waybills presented to the officials responsible for verifying them; 
•    Transport documents for logs or sawn wood are used fraudulently. Sometimes, a single waybill is used for several different truckloads, or waybills relating to one title are used to evacuate wood relating to another. It can even go as far as the trafficking of transport documents: commercial entities may purchase waybills issued for a valid logging title and use them to transport wood obtained under other titles or wood without any logging licence at all (Chatham House, 2015, CED-EIA, 2020). This practice is made easier by the administration's poor monitoring of authorised, felled and transported volumes. It is also easy for the owner of a logging title to obtain many more waybills than necessary and to sell some of them on (Mahonghol et al., 2016). Although all source types are affected by this, the trafficking of waybills is particularly high for community forests (IM-FLEG/REM, 2006, MEF, 2006). This practice is also coupled with the use of fraudulent markings on the logs (CED-EIA, 2020);
•    Waybills (logs and sawn wood) are used that have not yet been signed by the Ministry of Forests (IM/AGRECO-CEW, 2010);
•    Waybills are used to evacuate wood after the title’s expiration date (Expert consultation, 2019);
•    There is a particularly high risk that the traceability of wood is lost in break bulk yards (IM-FLEG/REM, 2007) and/or that illegal practices are utilised, such as modifying the markings on the blocks, mixing up wood from different origins, filling out waybills that no longer indicate the origin of the wood, making false declarations about species, loading the wood without the forest and customs administration officials present, etc. 
These practices are facilitated by potential corruption amongst the officials responsible for checking and issuing the waybills. They are also facilitated by the inadequacy of the computer systems in place, which do not allow users to cross-reference the data between authorised volumes, declared volumes and exported volumes per title (IM-FLEG/REM, 2009, Chatham House, 2015, Mahonghol, D. et al., 2016). 
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationStakeholder consultation
1
Check the waybills for the transportation of logs and processed wood (samples)
Check that the waybills are initialled by the forest administration
2
Consult Forest authorities
Consult the forest authorities so that they can confirm the authenticity of the waybills used
3
Consult Local forestry experts
If necessary consult forest experts for advanced checks into traceability from the logging site.
4
Consult Civil society organisations (WWF, FODER, RELUFA, CED, etc.)
If necessary consult civil society for advanced checks into traceability from the logging site.
5
Consult Independent monitor
If necessary consult independent monitor for advanced checks into traceability from the logging site.
Description of legal requirements
Wood transport documents shall be obtained and used as legally prescribed.
VIEW MORE
The forest administration is responsible for issuing the waybills (wood transport documents). In order to apply for a wood transport document, the following conditions must be fulfilled (Art. 41, 42 of Law n° 94-01 and Art. 35(1), 140(1) of Decree n° 95-531):  
•    The applicant must be in possession of a valid title (UFA, vente de coupe permit, council forest, community forest) or;
•    The applicant must be in possession of a timber processor registration certificate and a supply contract with a forest management body; or
•    The applicant must be the owner of a break bulk yard.
A number of documents must be provided to the forest administration by the applicant (document proving the wood source, proof of payment of taxes, etc.). 
The waybills are issued in the form of waybill booklets, produced at the National Printing Press of Cameroon. Each waybill has a unique identification number and is signed by the administration before being used.
Use of break bulk yards during transport
Due to the increase in trading activities following the arrival of Asian players on the wood export market, numerous “break bulk yards” have been established in major cities. The generalisation of exporting wood in containers, which requires the wood to be placed into containers on a site away from the port, has also contributed to the development of these storage and loading areas.
In response to this trend, the Ministry of Forests has regulated the modalities for the opening, running and renovation of break bulk yards in urban and suburban areas (Decision n°0173/MINFOF). These regulations distinguish break bulk yards intended for storage of logs and sawn wood from sawmill yards located within or close to timber processing units.
Wood can only enter and leave the break bulk yards with a waybill. 
However, break bulk yards are not covered by the Ministry of Forests’ computerised monitoring tool.
 
Applicable legislation
  • Decision n°0173/MINFOF/SG/DF/SDIAF/SAG of 28 April 2016 establishing the modalities for the opening, running and renovation of break bulk yards in urban and suburban areas, 2016.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Report n°0037/C/MINFOF/SG/DF/SDAFF/SEGIP of 3 April 2007., 2007.
VIEW LESS
1.18 Offshore trading and transfer pricing
Last updated on 2021-12-15 Unlawful transfer pricing practices are used via subsidiaries based abroad in order to minimise profits made in Cameroon Specified RISK
There is a risk of tax evasion via subsidiaries based abroad purchasing wood at prices below the market price (Expert consultation, 2019). This risk is higher for small and medium-sized companies, which are subjected to fewer restrictions, however large companies governed by the DGE are also susceptible to illegal transfer pricing practices.These practices are notably facilitated by:•    A lack of information enabling the administration to g... VIEW MOREThere is a risk of tax evasion via subsidiaries based abroad purchasing wood at prices below the market price (Expert consultation, 2019). This risk is higher for small and medium-sized companies, which are subjected to fewer restrictions, however large companies governed by the DGE are also susceptible to illegal transfer pricing practices.
These practices are notably facilitated by:
•    A lack of information enabling the administration to gauge the actual profit margins of the branches and timber buyers;  
•    A lack of precise criteria enabling the administration to gauge how suitable the transfer pricing policies implemented by the companies governed by the DGE are;
•    The fact that a parent company can be split up into several subsidiaries in Cameroon, which means it is technically still small or medium-sized, therefore bypassing the requirement for its transactions to be checked;
•    Materials being purchased from sister companies based abroad as a way of disposing of capital.
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationStakeholder consultation
1
Verify Export purchase invoice
Check that the prices stated on the export invoices correspond to international market prices (see FOB values for example on the ITTO website); check that the importer purchasing the wood products originating from Cameroon does not own subsidiaries in Cameroon
2
Consult Directorate General of Taxes
Consult the tax administration to confirm that the company has communicated all documents and information required by the law on transfer prices
Description of legal requirements
Transfer pricing used between subsidiaries shall be legal and shall not lead to unlawful minimising of profit taxes.
VIEW MORE
The transfer price is the price at which a company manufacturing goods in a foreign country sells them to a subsidiary based in Cameroon, which then sells them on. As of 2018, companies managed by the Directorate for Large Companies (DGE) with shares in other companies exceeding 25% of their capital have been required to communicate the following to the tax administration:
•    A statement of all transactions completed with the entities controlling or controlled by them;
•    Documentation justifying the transfer pricing policy implemented.
It is important to note that this provision only applies to companies falling under the DGE, which only represents 15% of companies in Cameroon. 
 
Applicable legislation
VIEW LESS
1.19 Custom regulations
Last updated on 2021-12-15 Wood is exported without a wood exporter accreditation/the specific export procedures applicable to wood are not respected (for instance wood is exported as other goods) Specified RISK
The following risks have been identified in relation to wood exports:•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and... VIEW MOREThe following risks have been identified in relation to wood exports:
•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and those arriving into the importing countries have been highlighted, notably with Vietnam, Belgium and China. False declarations regarding volumes notably enable exporters to avoid paying export taxes;
•    Species that are banned from being harvested or exported in logs are exported in violation of the regulations (IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Wood is exported by companies that are not in possession of a wood exporter accreditation. Some companies manage to export wood under the “other goods” category, only going via the Ministry of Trade, without a certificate of registration as a wood exporter (Mahonghol, D. et al., 2016). It is difficult for traders who are not themselves wood processors to obtain the required wood exporter accreditation from the Ministry of Forests. They therefore rely on a loophole in the system and bypass the specific procedures applicable to wood. This loophole may also notably be exploited by processing companies or logging operators who are not up to date with their taxes (Expert consultation, 2019);
•    Quotas for exporting wood in logs are exceeded or trafficked (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013): companies may purchase their log export quotas under the guise of purchasing wood stock from another company, when in reality they are exporting their own wood that does not have a log export permit. False timber purchasing agreements are also used to support the use of another company’s quotas.
Illegal practices in the wood export sector are facilitated by: 
•    Containers being loaded and sealed outside of the port area and/or in the absence of any customs officers or officials from the Ministry of Forests. Due to a lack of material and human resources, the appointed representatives (MINFOF/customs) are not always able to attend the loading operations (IM-FLEG/REM, 2007 and 2009). They sometimes sign the reports issued following loading, even though they were not present, or sometimes the officer in question does not have the expertise required to carry out certain checks, such as recognising different species. The administrations have not developed systematic procedures for verifying the identity of species during the export operations (Expert consultation, 2019);
•    Corruption: the World Bank (2011) reports that there is a strong feeling amongst users that customs procedures in Cameroon are tainted by corruption. The ECOFIN (2017) relays the National Anti-corruption Commission’s estimate that between 2010 and 2015, Cameroon lost 1,246 billion CFA francs through corruption and fraud within the country’s customs services; 
•    The absence of a single database accessible to all officials responsible for carrying out the checks, coupled with a lack of synergy and communication between the administrations (IM/AGRECO-CEW, 2013). Some administrations have developed systems to monitor export data, for example COMCAM for the forest administration at the port and SYDONIA for customs. However, these systems are not connected. Collaboration is weak in terms of sharing information between and within administrations. The title management database (SIGIF, managed by the Ministry of Forests) and COMCAM are not connected either.
Risks specific to wood in transit from the Central African Republic or the Republic of the Congo: 
•    A lack of any common or coordinated wood traceability system and the fact that information is not shared means that there is a risk that wood that has been harvested illegally abroad comes into Cameroon and is then exported without it being detected as illegal wood (Expert consultation, 2019). 
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Sawn wood or log exporter accreditation
Check that the documents are duly signed and stamped by the administrative authorities
2
Verify Phytosanitary certificate
Check that the documents are duly signed and stamped by the administrative authorities
3
Verify Export declaration
Check that the documents are duly signed and stamped by the administrative authorities
4
Verify Domiciliation of export transactions
Check that the documents are duly signed and stamped by the administrative authorities
5
Verify Receipt of payment of export taxes
Check that the documents are duly signed and stamped by the administrative authorities
Description of legal requirements
Export procedures applicable to wood shall be respected.
VIEW MORE
Exports in Cameroon
Wood for export is primarily transported via the port of Douala. The Cameroonian authorities have appointed SGS (Société Générale de Surveillance), a private company, to support the customs procedure (only in the port area). Some wood also leaves Cameroon via the port of Kribi.
Export procedure 
The entity exporting the wood must first of all be accredited as a timber exporter. It must obtain a specification form from the forest administration based on the packing list provided by the exporting entity itself, collating all the information relating to a single load of timber. No physical check is carried out at this stage. 
After that, all export operations are centralised within the Single Window for Foreign Trade Operations (GUCE). This entity groups all the different players involved in the export operations within one single space. The export procedure includes the following stages:
1) Phytosanitary treatment and inspection of wood: (a) inspection request by the phytosanitary unit within the GUCE based on the sales contract, packing list and specification form issued by the department of water and forests; (b) a phytosanitary certificate is issued;
2) Issuance of an export declaration: this declaration is issued by SGS (the company appointed by the government) upon presentation of the documents relating to the goods to be exported and a potential inspection (SGS carries out the physical inspections based on a sample in line with its own procedures - the inspection at this stage is therefore not systematic. During the inspection, the species present in the packages for export are verified and compared with the declarations made in the documents);
3) Domiciliation of export transactions: the exporter must domicile the payments at a bank for operations to be carried out;
4) Payment of taxes and fees: all taxes and fees due for export are paid via a bank included in the GUCE Single Window. The bank issues a receipt and informs the Autonomous Port of Douala directly that payment has been made.
Whilst the administrative procedures are being carried out, the wood is loaded into a container which is then sealed. This step must be conducted in the presence of a customs officer and an official from the Ministry of Forests. A report is signed jointly by these authorities.
Bans on exporting wood in logs and thicker square-edge timber
Since 1999, Cameroon has been progressively banning log exports in order to boost its own timber processing industry. The law stipulates that all wood must be fully processed in Cameroon before export, apart from certain species (and subject to payment of a surcharge) (Art. 71 of Law n°94/04 as amended by Ordinance n°99/001).
The species that are formally banned from being exported in the form of logs under all circumstances are: acajou, anigre, assamela (Afrormosia), bete, bosse, bubinga, dibetou, doussie, fromager, ilomba, iroko, longhi (Abam), makore, moabi, movingui, mukulungu, ovengkol, padauk, pao rosa, sapelli, sipo, teak, wenge and zingana (Order n°0021 of 19 February 2018).
Licences for all other species are issued by the Ministry of Forests on a case-by-case basis. A log exporter accreditation is required (this document is different to the sawn wood exporter accreditation), and an individual quota is determined.
Two circular letters were also issued in 2000 and 2019 by the Ministry of Forests to ensure that square-edged timber for export does not exceed 15 cm in thickness, in view of the fact that exporting wood in the form of boules and squared timber does not count as proper processing before export, (pending the outcome of a set of draft obligatory standards for processing wood for export). 
Export taxes 
The following taxes must be paid by companies exporting wood from Cameroon: 
•    Inspection and control tax in view of obtaining the tax slip (bordereau de taxation, BDT) (0.95% applied to the value of the logs); 
•    Customs duties/exit duties, which are calculated based on the FOB value of each species (the FOB values are defined on a quarterly basis); 
•    If applicable, a surcharge for wood exported in logs for authorised species in line with the allocated quotas. The 2018 Finance Law stipulates that “wood exported in logs is subjected to a 30% tax on the taxable value of each species”. In 2017, this tax was 20%, and in 1999 it was 17.5%;
•    Licence fee paid to the Autonomous Port of Douala.
Transit of wood through Cameroon
Due to its accessibility, the Port of Douala also attracts exporters of wood harvested in the Central African Republic (CAR) or even the northern part of the Republic of the Congo (IM-FLEG/REM, 2009). 
For wood coming from the CAR, a private company (BIVAC-RCA) has been appointed to carry out checks on all loads at the border, to inspect the wood products, to carry out an inventory of all products passing through the border checkpoints and to collect all export duties and taxes. All shipments in transit through Cameroon must be accompanied by the following documents: 
1) Certificate of origin;
2) International waybill (lettre de voiture international, LVI) issued by the Bureau d’Affrètement Routier Centrafricain (Central African Road Charter Bureau) or specification form;
3) Phytosanitary certificate;
4) Customs declaration (D15 and D6);
5) Commercial export declaration (DEC);
6) EUR1 customs document if the wood is going to Europe.
The administrative authorities carrying out the controls at the road checkpoints must ensure that these documents are present. 
Once the wood arrives at the port and in compliance with the agreements of the CEMAC, it is not subjected to any additional taxes, aside from the fees related to maritime transport.
 
Applicable legislation
  • CEMAC currency exchange regulations: Regulation n°02/00/CEMAC/UMAC/CM of 29 April 2000, 2000.
  • Circular letter n°0067/LC/MINFOF/CAB of 12 April 2019. Reminder of the requirements of CL n°213, 2019.
  • Circular letter n°213/LC/MINEF/SG/DPT of 22 June 2000: Limiting the thickness of square-edged timber for export to less than 15 cm, 2000.
  • Decision n°0336 D/MINFOF of 6 July establishing a list of special forest products of particular interest to Cameroon.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Decree n°99/781/PM of 13 October 1999 establishing the modalities for applying Article 71(1) (new) of Law n°094 of 20 January 1994 on the regime for forestry, wildlife and fisheries, 1999.
  • General Tax Code.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0021/MINFOF of 19 February 2018 modifying the classification of forest species, 2018.
  • Ordinance n°99/001 of 31 August 1999 supplementing certain provisions of Law n°94/01 of 20 January 1994 establishing a regime for forestry, wildlife and fisheries, 1999.
VIEW LESS
1.19 Custom regulations
Last updated on 2021-12-15 The procedures applicable to wood exports checks are not respected or the checks carried out are not effective Specified RISK
The following risks have been identified in relation to wood exports:•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and... VIEW MOREThe following risks have been identified in relation to wood exports:
•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and those arriving into the importing countries have been highlighted, notably with Vietnam, Belgium and China. False declarations regarding volumes notably enable exporters to avoid paying export taxes;
•    Species that are banned from being harvested or exported in logs are exported in violation of the regulations (IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Wood is exported by companies that are not in possession of a wood exporter accreditation. Some companies manage to export wood under the “other goods” category, only going via the Ministry of Trade, without a certificate of registration as a wood exporter (Mahonghol, D. et al., 2016). It is difficult for traders who are not themselves wood processors to obtain the required wood exporter accreditation from the Ministry of Forests. They therefore rely on a loophole in the system and bypass the specific procedures applicable to wood. This loophole may also notably be exploited by processing companies or logging operators who are not up to date with their taxes (Expert consultation, 2019);
•    Quotas for exporting wood in logs are exceeded or trafficked (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013): companies may purchase their log export quotas under the guise of purchasing wood stock from another company, when in reality they are exporting their own wood that does not have a log export permit. False timber purchasing agreements are also used to support the use of another company’s quotas.
Illegal practices in the wood export sector are facilitated by: 
•    Containers being loaded and sealed outside of the port area and/or in the absence of any customs officers or officials from the Ministry of Forests. Due to a lack of material and human resources, the appointed representatives (MINFOF/customs) are not always able to attend the loading operations (IM-FLEG/REM, 2007 and 2009). They sometimes sign the reports issued following loading, even though they were not present, or sometimes the officer in question does not have the expertise required to carry out certain checks, such as recognising different species. The administrations have not developed systematic procedures for verifying the identity of species during the export operations (Expert consultation, 2019);
•    Corruption: the World Bank (2011) reports that there is a strong feeling amongst users that customs procedures in Cameroon are tainted by corruption. The ECOFIN (2017) relays the National Anti-corruption Commission’s estimate that between 2010 and 2015, Cameroon lost 1,246 billion CFA francs through corruption and fraud within the country’s customs services; 
•    The absence of a single database accessible to all officials responsible for carrying out the checks, coupled with a lack of synergy and communication between the administrations (IM/AGRECO-CEW, 2013). Some administrations have developed systems to monitor export data, for example COMCAM for the forest administration at the port and SYDONIA for customs. However, these systems are not connected. Collaboration is weak in terms of sharing information between and within administrations. The title management database (SIGIF, managed by the Ministry of Forests) and COMCAM are not connected either.
Risks specific to wood in transit from the Central African Republic or the Republic of the Congo: 
•    A lack of any common or coordinated wood traceability system and the fact that information is not shared means that there is a risk that wood that has been harvested illegally abroad comes into Cameroon and is then exported without it being detected as illegal wood (Expert consultation, 2019). 
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Stakeholder consultation
1
Contact SGS

Request their inspection report, if available.

Description of legal requirements
Export checks procedures for wood shipments shall be implemented.
VIEW MORE
Exports in Cameroon
Wood for export is primarily transported via the port of Douala. The Cameroonian authorities have appointed SGS (Société Générale de Surveillance), a private company, to support the customs procedure (only in the port area). Some wood also leaves Cameroon via the port of Kribi.
Export procedure 
The entity exporting the wood must first of all be accredited as a timber exporter. It must obtain a specification form from the forest administration based on the packing list provided by the exporting entity itself, collating all the information relating to a single load of timber. No physical check is carried out at this stage. 
After that, all export operations are centralised within the Single Window for Foreign Trade Operations (GUCE). This entity groups all the different players involved in the export operations within one single space. The export procedure includes the following stages:
1) Phytosanitary treatment and inspection of wood: (a) inspection request by the phytosanitary unit within the GUCE based on the sales contract, packing list and specification form issued by the department of water and forests; (b) a phytosanitary certificate is issued;
2) Issuance of an export declaration: this declaration is issued by SGS (the company appointed by the government) upon presentation of the documents relating to the goods to be exported and a potential inspection (SGS carries out the physical inspections based on a sample in line with its own procedures - the inspection at this stage is therefore not systematic. During the inspection, the species present in the packages for export are verified and compared with the declarations made in the documents);
3) Domiciliation of export transactions: the exporter must domicile the payments at a bank for operations to be carried out;
4) Payment of taxes and fees: all taxes and fees due for export are paid via a bank included in the GUCE Single Window. The bank issues a receipt and informs the Autonomous Port of Douala directly that payment has been made.
Whilst the administrative procedures are being carried out, the wood is loaded into a container which is then sealed. This step must be conducted in the presence of a customs officer and an official from the Ministry of Forests. A report is signed jointly by these authorities.
Bans on exporting wood in logs and thicker square-edge timber
Since 1999, Cameroon has been progressively banning log exports in order to boost its own timber processing industry. The law stipulates that all wood must be fully processed in Cameroon before export, apart from certain species (and subject to payment of a surcharge) (Art. 71 of Law n°94/04 as amended by Ordinance n°99/001).
The species that are formally banned from being exported in the form of logs under all circumstances are: acajou, anigre, assamela (Afrormosia), bete, bosse, bubinga, dibetou, doussie, fromager, ilomba, iroko, longhi (Abam), makore, moabi, movingui, mukulungu, ovengkol, padauk, pao rosa, sapelli, sipo, teak, wenge and zingana (Order n°0021 of 19 February 2018).
Licences for all other species are issued by the Ministry of Forests on a case-by-case basis. A log exporter accreditation is required (this document is different to the sawn wood exporter accreditation), and an individual quota is determined.
Two circular letters were also issued in 2000 and 2019 by the Ministry of Forests to ensure that square-edged timber for export does not exceed 15 cm in thickness, in view of the fact that exporting wood in the form of boules and squared timber does not count as proper processing before export, (pending the outcome of a set of draft obligatory standards for processing wood for export). 
Export taxes 
The following taxes must be paid by companies exporting wood from Cameroon: 
•    Inspection and control tax in view of obtaining the tax slip (bordereau de taxation, BDT) (0.95% applied to the value of the logs); 
•    Customs duties/exit duties, which are calculated based on the FOB value of each species (the FOB values are defined on a quarterly basis); 
•    If applicable, a surcharge for wood exported in logs for authorised species in line with the allocated quotas. The 2018 Finance Law stipulates that “wood exported in logs is subjected to a 30% tax on the taxable value of each species”. In 2017, this tax was 20%, and in 1999 it was 17.5%;
•    Licence fee paid to the Autonomous Port of Douala.
Transit of wood through Cameroon
Due to its accessibility, the Port of Douala also attracts exporters of wood harvested in the Central African Republic (CAR) or even the northern part of the Republic of the Congo (IM-FLEG/REM, 2009). 
For wood coming from the CAR, a private company (BIVAC-RCA) has been appointed to carry out checks on all loads at the border, to inspect the wood products, to carry out an inventory of all products passing through the border checkpoints and to collect all export duties and taxes. All shipments in transit through Cameroon must be accompanied by the following documents: 
1) Certificate of origin;
2) International waybill (lettre de voiture international, LVI) issued by the Bureau d’Affrètement Routier Centrafricain (Central African Road Charter Bureau) or specification form;
3) Phytosanitary certificate;
4) Customs declaration (D15 and D6);
5) Commercial export declaration (DEC);
6) EUR1 customs document if the wood is going to Europe.
The administrative authorities carrying out the controls at the road checkpoints must ensure that these documents are present. 
Once the wood arrives at the port and in compliance with the agreements of the CEMAC, it is not subjected to any additional taxes, aside from the fees related to maritime transport.
 
Applicable legislation
  • CEMAC currency exchange regulations: Regulation n°02/00/CEMAC/UMAC/CM of 29 April 2000, 2000.
  • Circular letter n°0067/LC/MINFOF/CAB of 12 April 2019. Reminder of the requirements of CL n°213, 2019.
  • Circular letter n°213/LC/MINEF/SG/DPT of 22 June 2000: Limiting the thickness of square-edged timber for export to less than 15 cm, 2000.
  • Decision n°0336 D/MINFOF of 6 July establishing a list of special forest products of particular interest to Cameroon.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Decree n°99/781/PM of 13 October 1999 establishing the modalities for applying Article 71(1) (new) of Law n°094 of 20 January 1994 on the regime for forestry, wildlife and fisheries, 1999.
  • General Tax Code.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0021/MINFOF of 19 February 2018 modifying the classification of forest species, 2018.
  • Ordinance n°99/001 of 31 August 1999 supplementing certain provisions of Law n°94/01 of 20 January 1994 establishing a regime for forestry, wildlife and fisheries, 1999.
VIEW LESS
1.19 Custom regulations
Last updated on 2021-12-15 Fraudulent declarations are made regarding species and quantities on the export documents Specified RISK
The following risks have been identified in relation to wood exports:•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and... VIEW MOREThe following risks have been identified in relation to wood exports:
•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and those arriving into the importing countries have been highlighted, notably with Vietnam, Belgium and China. False declarations regarding volumes notably enable exporters to avoid paying export taxes;
•    Species that are banned from being harvested or exported in logs are exported in violation of the regulations (IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Wood is exported by companies that are not in possession of a wood exporter accreditation. Some companies manage to export wood under the “other goods” category, only going via the Ministry of Trade, without a certificate of registration as a wood exporter (Mahonghol, D. et al., 2016). It is difficult for traders who are not themselves wood processors to obtain the required wood exporter accreditation from the Ministry of Forests. They therefore rely on a loophole in the system and bypass the specific procedures applicable to wood. This loophole may also notably be exploited by processing companies or logging operators who are not up to date with their taxes (Expert consultation, 2019);
•    Quotas for exporting wood in logs are exceeded or trafficked (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013): companies may purchase their log export quotas under the guise of purchasing wood stock from another company, when in reality they are exporting their own wood that does not have a log export permit. False timber purchasing agreements are also used to support the use of another company’s quotas.
Illegal practices in the wood export sector are facilitated by: 
•    Containers being loaded and sealed outside of the port area and/or in the absence of any customs officers or officials from the Ministry of Forests. Due to a lack of material and human resources, the appointed representatives (MINFOF/customs) are not always able to attend the loading operations (IM-FLEG/REM, 2007 and 2009). They sometimes sign the reports issued following loading, even though they were not present, or sometimes the officer in question does not have the expertise required to carry out certain checks, such as recognising different species. The administrations have not developed systematic procedures for verifying the identity of species during the export operations (Expert consultation, 2019);
•    Corruption: the World Bank (2011) reports that there is a strong feeling amongst users that customs procedures in Cameroon are tainted by corruption. The ECOFIN (2017) relays the National Anti-corruption Commission’s estimate that between 2010 and 2015, Cameroon lost 1,246 billion CFA francs through corruption and fraud within the country’s customs services; 
•    The absence of a single database accessible to all officials responsible for carrying out the checks, coupled with a lack of synergy and communication between the administrations (IM/AGRECO-CEW, 2013). Some administrations have developed systems to monitor export data, for example COMCAM for the forest administration at the port and SYDONIA for customs. However, these systems are not connected. Collaboration is weak in terms of sharing information between and within administrations. The title management database (SIGIF, managed by the Ministry of Forests) and COMCAM are not connected either.
Risks specific to wood in transit from the Central African Republic or the Republic of the Congo: 
•    A lack of any common or coordinated wood traceability system and the fact that information is not shared means that there is a risk that wood that has been harvested illegally abroad comes into Cameroon and is then exported without it being detected as illegal wood (Expert consultation, 2019). 
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Export declaration

Check that the volumes and species stated on the export declaration are consistent with the imported volumes. Collect any document relating to the log export quota attributed to the exporter

Description of legal requirements
Declarations made on export documents are authentic.
VIEW MORE
Exports in Cameroon
Wood for export is primarily transported via the port of Douala. The Cameroonian authorities have appointed SGS (Société Générale de Surveillance), a private company, to support the customs procedure (only in the port area). Some wood also leaves Cameroon via the port of Kribi.
Export procedure 
The entity exporting the wood must first of all be accredited as a timber exporter. It must obtain a specification form from the forest administration based on the packing list provided by the exporting entity itself, collating all the information relating to a single load of timber. No physical check is carried out at this stage. 
After that, all export operations are centralised within the Single Window for Foreign Trade Operations (GUCE). This entity groups all the different players involved in the export operations within one single space. The export procedure includes the following stages:
1) Phytosanitary treatment and inspection of wood: (a) inspection request by the phytosanitary unit within the GUCE based on the sales contract, packing list and specification form issued by the department of water and forests; (b) a phytosanitary certificate is issued;
2) Issuance of an export declaration: this declaration is issued by SGS (the company appointed by the government) upon presentation of the documents relating to the goods to be exported and a potential inspection (SGS carries out the physical inspections based on a sample in line with its own procedures - the inspection at this stage is therefore not systematic. During the inspection, the species present in the packages for export are verified and compared with the declarations made in the documents);
3) Domiciliation of export transactions: the exporter must domicile the payments at a bank for operations to be carried out;
4) Payment of taxes and fees: all taxes and fees due for export are paid via a bank included in the GUCE Single Window. The bank issues a receipt and informs the Autonomous Port of Douala directly that payment has been made.
Whilst the administrative procedures are being carried out, the wood is loaded into a container which is then sealed. This step must be conducted in the presence of a customs officer and an official from the Ministry of Forests. A report is signed jointly by these authorities.
Bans on exporting wood in logs and thicker square-edge timber
Since 1999, Cameroon has been progressively banning log exports in order to boost its own timber processing industry. The law stipulates that all wood must be fully processed in Cameroon before export, apart from certain species (and subject to payment of a surcharge) (Art. 71 of Law n°94/04 as amended by Ordinance n°99/001).
The species that are formally banned from being exported in the form of logs under all circumstances are: acajou, anigre, assamela (Afrormosia), bete, bosse, bubinga, dibetou, doussie, fromager, ilomba, iroko, longhi (Abam), makore, moabi, movingui, mukulungu, ovengkol, padauk, pao rosa, sapelli, sipo, teak, wenge and zingana (Order n°0021 of 19 February 2018).
Licences for all other species are issued by the Ministry of Forests on a case-by-case basis. A log exporter accreditation is required (this document is different to the sawn wood exporter accreditation), and an individual quota is determined.
Two circular letters were also issued in 2000 and 2019 by the Ministry of Forests to ensure that square-edged timber for export does not exceed 15 cm in thickness, in view of the fact that exporting wood in the form of boules and squared timber does not count as proper processing before export, (pending the outcome of a set of draft obligatory standards for processing wood for export). 
Export taxes 
The following taxes must be paid by companies exporting wood from Cameroon: 
•    Inspection and control tax in view of obtaining the tax slip (bordereau de taxation, BDT) (0.95% applied to the value of the logs); 
•    Customs duties/exit duties, which are calculated based on the FOB value of each species (the FOB values are defined on a quarterly basis); 
•    If applicable, a surcharge for wood exported in logs for authorised species in line with the allocated quotas. The 2018 Finance Law stipulates that “wood exported in logs is subjected to a 30% tax on the taxable value of each species”. In 2017, this tax was 20%, and in 1999 it was 17.5%;
•    Licence fee paid to the Autonomous Port of Douala.
Transit of wood through Cameroon
Due to its accessibility, the Port of Douala also attracts exporters of wood harvested in the Central African Republic (CAR) or even the northern part of the Republic of the Congo (IM-FLEG/REM, 2009). 
For wood coming from the CAR, a private company (BIVAC-RCA) has been appointed to carry out checks on all loads at the border, to inspect the wood products, to carry out an inventory of all products passing through the border checkpoints and to collect all export duties and taxes. All shipments in transit through Cameroon must be accompanied by the following documents: 
1) Certificate of origin;
2) International waybill (lettre de voiture international, LVI) issued by the Bureau d’Affrètement Routier Centrafricain (Central African Road Charter Bureau) or specification form;
3) Phytosanitary certificate;
4) Customs declaration (D15 and D6);
5) Commercial export declaration (DEC);
6) EUR1 customs document if the wood is going to Europe.
The administrative authorities carrying out the controls at the road checkpoints must ensure that these documents are present. 
Once the wood arrives at the port and in compliance with the agreements of the CEMAC, it is not subjected to any additional taxes, aside from the fees related to maritime transport.
 
Applicable legislation
  • CEMAC currency exchange regulations: Regulation n°02/00/CEMAC/UMAC/CM of 29 April 2000, 2000.
  • Circular letter n°0067/LC/MINFOF/CAB of 12 April 2019. Reminder of the requirements of CL n°213, 2019.
  • Circular letter n°213/LC/MINEF/SG/DPT of 22 June 2000: Limiting the thickness of square-edged timber for export to less than 15 cm, 2000.
  • Decision n°0336 D/MINFOF of 6 July establishing a list of special forest products of particular interest to Cameroon.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Decree n°99/781/PM of 13 October 1999 establishing the modalities for applying Article 71(1) (new) of Law n°094 of 20 January 1994 on the regime for forestry, wildlife and fisheries, 1999.
  • General Tax Code.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0021/MINFOF of 19 February 2018 modifying the classification of forest species, 2018.
  • Ordinance n°99/001 of 31 August 1999 supplementing certain provisions of Law n°94/01 of 20 January 1994 establishing a regime for forestry, wildlife and fisheries, 1999.
VIEW LESS
1.19 Custom regulations
Last updated on 2021-12-15 Wood is exported unlawfully in logs (species banned from export in the form of logs or in excess of the established quotas) Specified RISK
The following risks have been identified in relation to wood exports:•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and... VIEW MOREThe following risks have been identified in relation to wood exports:
•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and those arriving into the importing countries have been highlighted, notably with Vietnam, Belgium and China. False declarations regarding volumes notably enable exporters to avoid paying export taxes;
•    Species that are banned from being harvested or exported in logs are exported in violation of the regulations (IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Wood is exported by companies that are not in possession of a wood exporter accreditation. Some companies manage to export wood under the “other goods” category, only going via the Ministry of Trade, without a certificate of registration as a wood exporter (Mahonghol, D. et al., 2016). It is difficult for traders who are not themselves wood processors to obtain the required wood exporter accreditation from the Ministry of Forests. They therefore rely on a loophole in the system and bypass the specific procedures applicable to wood. This loophole may also notably be exploited by processing companies or logging operators who are not up to date with their taxes (Expert consultation, 2019);
•    Quotas for exporting wood in logs are exceeded or trafficked (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013): companies may purchase their log export quotas under the guise of purchasing wood stock from another company, when in reality they are exporting their own wood that does not have a log export permit. False timber purchasing agreements are also used to support the use of another company’s quotas.
Illegal practices in the wood export sector are facilitated by: 
•    Containers being loaded and sealed outside of the port area and/or in the absence of any customs officers or officials from the Ministry of Forests. Due to a lack of material and human resources, the appointed representatives (MINFOF/customs) are not always able to attend the loading operations (IM-FLEG/REM, 2007 and 2009). They sometimes sign the reports issued following loading, even though they were not present, or sometimes the officer in question does not have the expertise required to carry out certain checks, such as recognising different species. The administrations have not developed systematic procedures for verifying the identity of species during the export operations (Expert consultation, 2019);
•    Corruption: the World Bank (2011) reports that there is a strong feeling amongst users that customs procedures in Cameroon are tainted by corruption. The ECOFIN (2017) relays the National Anti-corruption Commission’s estimate that between 2010 and 2015, Cameroon lost 1,246 billion CFA francs through corruption and fraud within the country’s customs services; 
•    The absence of a single database accessible to all officials responsible for carrying out the checks, coupled with a lack of synergy and communication between the administrations (IM/AGRECO-CEW, 2013). Some administrations have developed systems to monitor export data, for example COMCAM for the forest administration at the port and SYDONIA for customs. However, these systems are not connected. Collaboration is weak in terms of sharing information between and within administrations. The title management database (SIGIF, managed by the Ministry of Forests) and COMCAM are not connected either.
Risks specific to wood in transit from the Central African Republic or the Republic of the Congo: 
•    A lack of any common or coordinated wood traceability system and the fact that information is not shared means that there is a risk that wood that has been harvested illegally abroad comes into Cameroon and is then exported without it being detected as illegal wood (Expert consultation, 2019). 
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Export declaration

Check that the species sold are not in the list of species that are banned from being exported in the form of logs. Collect any document relating to the log export quota attributed to the exporter

Description of legal requirements
Wood exported as logs shall be compliant with the regulation on species and quotas.
VIEW MORE
Exports in Cameroon
Wood for export is primarily transported via the port of Douala. The Cameroonian authorities have appointed SGS (Société Générale de Surveillance), a private company, to support the customs procedure (only in the port area). Some wood also leaves Cameroon via the port of Kribi.
Export procedure 
The entity exporting the wood must first of all be accredited as a timber exporter. It must obtain a specification form from the forest administration based on the packing list provided by the exporting entity itself, collating all the information relating to a single load of timber. No physical check is carried out at this stage. 
After that, all export operations are centralised within the Single Window for Foreign Trade Operations (GUCE). This entity groups all the different players involved in the export operations within one single space. The export procedure includes the following stages:
1) Phytosanitary treatment and inspection of wood: (a) inspection request by the phytosanitary unit within the GUCE based on the sales contract, packing list and specification form issued by the department of water and forests; (b) a phytosanitary certificate is issued;
2) Issuance of an export declaration: this declaration is issued by SGS (the company appointed by the government) upon presentation of the documents relating to the goods to be exported and a potential inspection (SGS carries out the physical inspections based on a sample in line with its own procedures - the inspection at this stage is therefore not systematic. During the inspection, the species present in the packages for export are verified and compared with the declarations made in the documents);
3) Domiciliation of export transactions: the exporter must domicile the payments at a bank for operations to be carried out;
4) Payment of taxes and fees: all taxes and fees due for export are paid via a bank included in the GUCE Single Window. The bank issues a receipt and informs the Autonomous Port of Douala directly that payment has been made.
Whilst the administrative procedures are being carried out, the wood is loaded into a container which is then sealed. This step must be conducted in the presence of a customs officer and an official from the Ministry of Forests. A report is signed jointly by these authorities.
Bans on exporting wood in logs and thicker square-edge timber
Since 1999, Cameroon has been progressively banning log exports in order to boost its own timber processing industry. The law stipulates that all wood must be fully processed in Cameroon before export, apart from certain species (and subject to payment of a surcharge) (Art. 71 of Law n°94/04 as amended by Ordinance n°99/001).
The species that are formally banned from being exported in the form of logs under all circumstances are: acajou, anigre, assamela (Afrormosia), bete, bosse, bubinga, dibetou, doussie, fromager, ilomba, iroko, longhi (Abam), makore, moabi, movingui, mukulungu, ovengkol, padauk, pao rosa, sapelli, sipo, teak, wenge and zingana (Order n°0021 of 19 February 2018).
Licences for all other species are issued by the Ministry of Forests on a case-by-case basis. A log exporter accreditation is required (this document is different to the sawn wood exporter accreditation), and an individual quota is determined.
Two circular letters were also issued in 2000 and 2019 by the Ministry of Forests to ensure that square-edged timber for export does not exceed 15 cm in thickness, in view of the fact that exporting wood in the form of boules and squared timber does not count as proper processing before export, (pending the outcome of a set of draft obligatory standards for processing wood for export). 
Export taxes 
The following taxes must be paid by companies exporting wood from Cameroon: 
•    Inspection and control tax in view of obtaining the tax slip (bordereau de taxation, BDT) (0.95% applied to the value of the logs); 
•    Customs duties/exit duties, which are calculated based on the FOB value of each species (the FOB values are defined on a quarterly basis); 
•    If applicable, a surcharge for wood exported in logs for authorised species in line with the allocated quotas. The 2018 Finance Law stipulates that “wood exported in logs is subjected to a 30% tax on the taxable value of each species”. In 2017, this tax was 20%, and in 1999 it was 17.5%;
•    Licence fee paid to the Autonomous Port of Douala.
Transit of wood through Cameroon
Due to its accessibility, the Port of Douala also attracts exporters of wood harvested in the Central African Republic (CAR) or even the northern part of the Republic of the Congo (IM-FLEG/REM, 2009). 
For wood coming from the CAR, a private company (BIVAC-RCA) has been appointed to carry out checks on all loads at the border, to inspect the wood products, to carry out an inventory of all products passing through the border checkpoints and to collect all export duties and taxes. All shipments in transit through Cameroon must be accompanied by the following documents: 
1) Certificate of origin;
2) International waybill (lettre de voiture international, LVI) issued by the Bureau d’Affrètement Routier Centrafricain (Central African Road Charter Bureau) or specification form;
3) Phytosanitary certificate;
4) Customs declaration (D15 and D6);
5) Commercial export declaration (DEC);
6) EUR1 customs document if the wood is going to Europe.
The administrative authorities carrying out the controls at the road checkpoints must ensure that these documents are present. 
Once the wood arrives at the port and in compliance with the agreements of the CEMAC, it is not subjected to any additional taxes, aside from the fees related to maritime transport.
 
Applicable legislation
  • CEMAC currency exchange regulations: Regulation n°02/00/CEMAC/UMAC/CM of 29 April 2000, 2000.
  • Circular letter n°0067/LC/MINFOF/CAB of 12 April 2019. Reminder of the requirements of CL n°213, 2019.
  • Circular letter n°213/LC/MINEF/SG/DPT of 22 June 2000: Limiting the thickness of square-edged timber for export to less than 15 cm, 2000.
  • Decision n°0336 D/MINFOF of 6 July establishing a list of special forest products of particular interest to Cameroon.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Decree n°99/781/PM of 13 October 1999 establishing the modalities for applying Article 71(1) (new) of Law n°094 of 20 January 1994 on the regime for forestry, wildlife and fisheries, 1999.
  • General Tax Code.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0021/MINFOF of 19 February 2018 modifying the classification of forest species, 2018.
  • Ordinance n°99/001 of 31 August 1999 supplementing certain provisions of Law n°94/01 of 20 January 1994 establishing a regime for forestry, wildlife and fisheries, 1999.
VIEW LESS
1.19 Custom regulations
Last updated on 2021-12-15 Wood is exported that does not comply with the provisions relating to processing (maximum 15 cm thickness for square-edged timber) Specified RISK
The following risks have been identified in relation to wood exports:•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and... VIEW MOREThe following risks have been identified in relation to wood exports:
•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and those arriving into the importing countries have been highlighted, notably with Vietnam, Belgium and China. False declarations regarding volumes notably enable exporters to avoid paying export taxes;
•    Species that are banned from being harvested or exported in logs are exported in violation of the regulations (IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Wood is exported by companies that are not in possession of a wood exporter accreditation. Some companies manage to export wood under the “other goods” category, only going via the Ministry of Trade, without a certificate of registration as a wood exporter (Mahonghol, D. et al., 2016). It is difficult for traders who are not themselves wood processors to obtain the required wood exporter accreditation from the Ministry of Forests. They therefore rely on a loophole in the system and bypass the specific procedures applicable to wood. This loophole may also notably be exploited by processing companies or logging operators who are not up to date with their taxes (Expert consultation, 2019);
•    Quotas for exporting wood in logs are exceeded or trafficked (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013): companies may purchase their log export quotas under the guise of purchasing wood stock from another company, when in reality they are exporting their own wood that does not have a log export permit. False timber purchasing agreements are also used to support the use of another company’s quotas.
Illegal practices in the wood export sector are facilitated by: 
•    Containers being loaded and sealed outside of the port area and/or in the absence of any customs officers or officials from the Ministry of Forests. Due to a lack of material and human resources, the appointed representatives (MINFOF/customs) are not always able to attend the loading operations (IM-FLEG/REM, 2007 and 2009). They sometimes sign the reports issued following loading, even though they were not present, or sometimes the officer in question does not have the expertise required to carry out certain checks, such as recognising different species. The administrations have not developed systematic procedures for verifying the identity of species during the export operations (Expert consultation, 2019);
•    Corruption: the World Bank (2011) reports that there is a strong feeling amongst users that customs procedures in Cameroon are tainted by corruption. The ECOFIN (2017) relays the National Anti-corruption Commission’s estimate that between 2010 and 2015, Cameroon lost 1,246 billion CFA francs through corruption and fraud within the country’s customs services; 
•    The absence of a single database accessible to all officials responsible for carrying out the checks, coupled with a lack of synergy and communication between the administrations (IM/AGRECO-CEW, 2013). Some administrations have developed systems to monitor export data, for example COMCAM for the forest administration at the port and SYDONIA for customs. However, these systems are not connected. Collaboration is weak in terms of sharing information between and within administrations. The title management database (SIGIF, managed by the Ministry of Forests) and COMCAM are not connected either.
Risks specific to wood in transit from the Central African Republic or the Republic of the Congo: 
•    A lack of any common or coordinated wood traceability system and the fact that information is not shared means that there is a risk that wood that has been harvested illegally abroad comes into Cameroon and is then exported without it being detected as illegal wood (Expert consultation, 2019). 
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Export declaration
For sawn wood, verify the dimensions stated on the export documents and that the product processing stages are coherent with the final product after export.
Description of legal requirements
Sawn timber shall be compliant with wood processing provisions.
VIEW MORE
Exports in Cameroon
Wood for export is primarily transported via the port of Douala. The Cameroonian authorities have appointed SGS (Société Générale de Surveillance), a private company, to support the customs procedure (only in the port area). Some wood also leaves Cameroon via the port of Kribi.
Export procedure 
The entity exporting the wood must first of all be accredited as a timber exporter. It must obtain a specification form from the forest administration based on the packing list provided by the exporting entity itself, collating all the information relating to a single load of timber. No physical check is carried out at this stage. 
After that, all export operations are centralised within the Single Window for Foreign Trade Operations (GUCE). This entity groups all the different players involved in the export operations within one single space. The export procedure includes the following stages:
1) Phytosanitary treatment and inspection of wood: (a) inspection request by the phytosanitary unit within the GUCE based on the sales contract, packing list and specification form issued by the department of water and forests; (b) a phytosanitary certificate is issued;
2) Issuance of an export declaration: this declaration is issued by SGS (the company appointed by the government) upon presentation of the documents relating to the goods to be exported and a potential inspection (SGS carries out the physical inspections based on a sample in line with its own procedures - the inspection at this stage is therefore not systematic. During the inspection, the species present in the packages for export are verified and compared with the declarations made in the documents);
3) Domiciliation of export transactions: the exporter must domicile the payments at a bank for operations to be carried out;
4) Payment of taxes and fees: all taxes and fees due for export are paid via a bank included in the GUCE Single Window. The bank issues a receipt and informs the Autonomous Port of Douala directly that payment has been made.
Whilst the administrative procedures are being carried out, the wood is loaded into a container which is then sealed. This step must be conducted in the presence of a customs officer and an official from the Ministry of Forests. A report is signed jointly by these authorities.
Bans on exporting wood in logs and thicker square-edge timber
Since 1999, Cameroon has been progressively banning log exports in order to boost its own timber processing industry. The law stipulates that all wood must be fully processed in Cameroon before export, apart from certain species (and subject to payment of a surcharge) (Art. 71 of Law n°94/04 as amended by Ordinance n°99/001).
The species that are formally banned from being exported in the form of logs under all circumstances are: acajou, anigre, assamela (Afrormosia), bete, bosse, bubinga, dibetou, doussie, fromager, ilomba, iroko, longhi (Abam), makore, moabi, movingui, mukulungu, ovengkol, padauk, pao rosa, sapelli, sipo, teak, wenge and zingana (Order n°0021 of 19 February 2018).
Licences for all other species are issued by the Ministry of Forests on a case-by-case basis. A log exporter accreditation is required (this document is different to the sawn wood exporter accreditation), and an individual quota is determined.
Two circular letters were also issued in 2000 and 2019 by the Ministry of Forests to ensure that square-edged timber for export does not exceed 15 cm in thickness, in view of the fact that exporting wood in the form of boules and squared timber does not count as proper processing before export, (pending the outcome of a set of draft obligatory standards for processing wood for export). 
Export taxes 
The following taxes must be paid by companies exporting wood from Cameroon: 
•    Inspection and control tax in view of obtaining the tax slip (bordereau de taxation, BDT) (0.95% applied to the value of the logs); 
•    Customs duties/exit duties, which are calculated based on the FOB value of each species (the FOB values are defined on a quarterly basis); 
•    If applicable, a surcharge for wood exported in logs for authorised species in line with the allocated quotas. The 2018 Finance Law stipulates that “wood exported in logs is subjected to a 30% tax on the taxable value of each species”. In 2017, this tax was 20%, and in 1999 it was 17.5%;
•    Licence fee paid to the Autonomous Port of Douala.
Transit of wood through Cameroon
Due to its accessibility, the Port of Douala also attracts exporters of wood harvested in the Central African Republic (CAR) or even the northern part of the Republic of the Congo (IM-FLEG/REM, 2009). 
For wood coming from the CAR, a private company (BIVAC-RCA) has been appointed to carry out checks on all loads at the border, to inspect the wood products, to carry out an inventory of all products passing through the border checkpoints and to collect all export duties and taxes. All shipments in transit through Cameroon must be accompanied by the following documents: 
1) Certificate of origin;
2) International waybill (lettre de voiture international, LVI) issued by the Bureau d’Affrètement Routier Centrafricain (Central African Road Charter Bureau) or specification form;
3) Phytosanitary certificate;
4) Customs declaration (D15 and D6);
5) Commercial export declaration (DEC);
6) EUR1 customs document if the wood is going to Europe.
The administrative authorities carrying out the controls at the road checkpoints must ensure that these documents are present. 
Once the wood arrives at the port and in compliance with the agreements of the CEMAC, it is not subjected to any additional taxes, aside from the fees related to maritime transport.
 
Applicable legislation
  • CEMAC currency exchange regulations: Regulation n°02/00/CEMAC/UMAC/CM of 29 April 2000, 2000.
  • Circular letter n°0067/LC/MINFOF/CAB of 12 April 2019. Reminder of the requirements of CL n°213, 2019.
  • Circular letter n°213/LC/MINEF/SG/DPT of 22 June 2000: Limiting the thickness of square-edged timber for export to less than 15 cm, 2000.
  • Decision n°0336 D/MINFOF of 6 July establishing a list of special forest products of particular interest to Cameroon.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Decree n°99/781/PM of 13 October 1999 establishing the modalities for applying Article 71(1) (new) of Law n°094 of 20 January 1994 on the regime for forestry, wildlife and fisheries, 1999.
  • General Tax Code.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
  • Order n°0021/MINFOF of 19 February 2018 modifying the classification of forest species, 2018.
  • Ordinance n°99/001 of 31 August 1999 supplementing certain provisions of Law n°94/01 of 20 January 1994 establishing a regime for forestry, wildlife and fisheries, 1999.
VIEW LESS
1.20 CITES
Last updated on 2021-12-15 CITES species are harvested without authorisation or in excess of the applicable harvesting/export quotas Specified RISK
There is a risk of unauthorised harvesting of CITES species (for example, see SNOIE, n°4-2019, n°6-2019 and n°11-2020), and that the export quotas are exceeded, notably due to the inadequacy of the system designed to monitor harvested and exported volumes. In 2020, it was reported that 4 companies exporting Assamela to Belgium had exceeded their quotas, and that there was a recurring absence of annual logging certificates associated with the ... VIEW MOREThere is a risk of unauthorised harvesting of CITES species (for example, see SNOIE, n°4-2019, n°6-2019 and n°11-2020), and that the export quotas are exceeded, notably due to the inadequacy of the system designed to monitor harvested and exported volumes. 
In 2020, it was reported that 4 companies exporting Assamela to Belgium had exceeded their quotas, and that there was a recurring absence of annual logging certificates associated with the harvesting of this species (IM/FODER, 2020). 
Another major problem that has been observed is the delay between the year when harvesting quota are issued and the period when export permits are issued, as those may relate to harvesting from the previous year. For example, some companies who obtained a harvesting quota based on the 2018 non-detriment finding only received their CITES export permit at the end of 2018 or even the start of 2019, this permit being valid for 6 months. This leads to a great deal of confusion and inadequacy of the volume checks carried out to verify coherence between the harvesting quotas and the volumes actually exported by each company (IM/FODER, 2020). 
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Non-detriment finding published by the scientific authority for the harvesting year
Check that the non-detriment finding does actually grant the logging company a harvesting quota for the year in which the harvesting has taken place; that the annual operating permit or annual logging certificate or Vente de coupe certificate does actually state the species sold and that the volumes have not been exceeded.
2
Verify Annual operating permit
If applicable. Check that the non-detriment finding does actually grant the logging company a harvesting quota for the year in which the harvesting has taken place; that the annual operating permit or annual logging certificate or Vente de coupe certificate does actually state the species sold and that the volumes have not been exceeded.
3
Verify Annual logging certificate
If applicable. Check that the non-detriment finding does actually grant the logging company a harvesting quota for the year in which the harvesting has taken place; that the annual operating permit or annual logging certificate or Vente de coupe certificate does actually state the species sold and that the volumes have not been exceeded.
4
Verify Vente de coupe certificate
If applicable. Check that the non-detriment finding does actually grant the logging company a harvesting quota for the year in which the harvesting has taken place; that the annual operating permit or annual logging certificate or Vente de coupe certificate does actually state the species sold and that the volumes have not been exceeded.
5
Verify CITES permit
Check that the non-detriment finding does actually grant the logging company a harvesting quota for the year in which the harvesting has taken place; that the annual operating permit or annual logging certificate or Vente de coupe certificate does actually state the species sold and that the volumes have not been exceeded.
6
Verify Site log books
Check that the non-detriment finding does actually grant the logging company a harvesting quota for the year in which the harvesting has taken place; that the annual operating permit or annual logging certificate or Vente de coupe certificate does actually state the species sold and that the volumes have not been exceeded.
Description of legal requirements
Exported CITES species shall comply with awarded authorisations and quotas.
VIEW MORE
The forest species included the CITES list that are the most harvested in Cameroon are afrormosia (also called assamela – Pericopsis elata) and bubinga (Guibourtia species). CITES also lists Padauk (Pterocarpus erinaceus), Dalbergia species and Prunus africana. These species may be:
•    Harvested if they are qualified as harvestable species in the forest management documents (if applicable) and authorised for logging in the annual logging certificate and annual operating permit;
•    Exported if the logger has obtained a CITES permit. 
CITES permits are issued by the Ministry of Forests based on a non-detriment finding (avis de commerce non préjudiciable, ACNP) produced annually by the CITES scientific authority, which designates which forest titles are authorised to harvest these species and the volumes thereof. 
In order to obtain a certificate of origin and a CITES permit, the entity must:
•    Be registered as a sawn wood exporter;
•    Own a processing unit;
•    Be able to produce the relevant processing statistics for said wood;
•    Be able to present a debt clearance certificate; 
•    Have a wood supply source. 
 
Applicable legislation
  • Commission Regulation (EC) n°865/2006 of 4 May 2006 laying down detailed rules concerning the implementation of Council Regulation (EC) n°338/97, 2006.
  • Decree n°2005/2869/PM of 29 July 2005 establishing the modalities for implementing certain provisions of the CITES agreement;, 2005.
  • Decree n°95/531/PM of 23 August 1995 establishing the modalities for implementing the forestry regime;, 1995.
  • Order n°067/PM of 27 June 2006 laying down the organisational set-up and operational procedures of the Inter-ministerial Coordination and Monitoring Committee for the implementation of the CITES, 2006.
VIEW LESS
1.23 Legal Registration of Business
Last updated on 2021-12-15 Low risk concluded Low RISK
The following breaches relating to EIAs are common (Expert consultation, 2019):•    The EIA process is only initiated after the timber processing unit has been established;•    The Ministry of Forests issues a timber processor registration certificate (certificat d’enregistrement en qualité de transformateur de bois, CEQTB) where the EIA has not been carried out, despite the fact that an EIA should be a prerequisite for obtaining a C... VIEW MOREThe following breaches relating to EIAs are common (Expert consultation, 2019):
•    The EIA process is only initiated after the timber processing unit has been established;
•    The Ministry of Forests issues a timber processor registration certificate (certificat d’enregistrement en qualité de transformateur de bois, CEQTB) where the EIA has not been carried out, despite the fact that an EIA should be a prerequisite for obtaining a CEQTB;
•    Companies do not implement the provisions of the EIA report.
The independent monitor also reported practices in violation of the standards relating to the processing of waste and sewage (SNOIE/FODER, 2016).
Finally, small and medium-sized processors are often unaware of the regulations concerning classified hazardous establishments and do not have their authorisation or declaration (Expert consultation, 2019).
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Description of legal requirements
The company must have an established site. It must submit a file to the Ministry of Forests that proves that its timber supply sources are valid, that it is in possession of processing facilities and that it is up to date with all tax payments to the authorities (debt clearance certificate).
VIEW MORE
Industrial installations in Cameroon must conduct an environmental impact assessment and implement the associated management plans. The impact assessment is carried out in several stages (submission of project notice to the MINEPDED, preliminary evaluation of the project, development and validation of the assessment terms of reference, execution of the assessment and public consultations, submission of the EIA report, approval from the EIA validation committee, and finally implementation of the project and follow-up of the environmental and social management plan). 
The content and categories to be covered by the assessment (summary or detailed depending on the case) are specified in the applicable regulations (Decree n°2013/071). 
On the other hand, factories and workshops likely to present health or safety hazards must either carry out a hazard study and obtain a permit or issue a written declaration to the authorities, depending on the case (art. 3, 4, 5 et 9 Law n°98/015).
 
Applicable legislation
  • Annual finance laws.
  • Circular letter n°0667/LC/MINEF/DF/CFC of 23 February 2001 prohibiting industrial logging in community forests., 2001.
  • Decree n°2002-531 of 23 August 1995 establishing the modalities for implementing the forestry regime, 1995.
  • Law n°64/LF-23 of 13 November 1964 on the protection of public health in Cameroon, 1964.
  • Law n°94/01 of 20 January 1994 laying down regulations for forestry, wildlife and fisheries;, 1994.
VIEW LESS
1.24 Environmental Requirements for Processing
Last updated on 2021-12-15 No environmental and social impact assessments are carried out (ESIA) Specified RISK
The following risks have been identified in relation to wood exports:•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and... VIEW MOREThe following risks have been identified in relation to wood exports:
•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and those arriving into the importing countries have been highlighted, notably with Vietnam, Belgium and China. False declarations regarding volumes notably enable exporters to avoid paying export taxes;
•    Species that are banned from being harvested or exported in logs are exported in violation of the regulations (IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Wood is exported by companies that are not in possession of a wood exporter accreditation. Some companies manage to export wood under the “other goods” category, only going via the Ministry of Trade, without a certificate of registration as a wood exporter (Mahonghol, D. et al., 2016). It is difficult for traders who are not themselves wood processors to obtain the required wood exporter accreditation from the Ministry of Forests. They therefore rely on a loophole in the system and bypass the specific procedures applicable to wood. This loophole may also notably be exploited by processing companies or logging operators who are not up to date with their taxes (Expert consultation, 2019);
•    Quotas for exporting wood in logs are exceeded or trafficked (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013): companies may purchase their log export quotas under the guise of purchasing wood stock from another company, when in reality they are exporting their own wood that does not have a log export permit. False timber purchasing agreements are also used to support the use of another company’s quotas.
Illegal practices in the wood export sector are facilitated by: 
•    Containers being loaded and sealed outside of the port area and/or in the absence of any customs officers or officials from the Ministry of Forests. Due to a lack of material and human resources, the appointed representatives (MINFOF/customs) are not always able to attend the loading operations (IM-FLEG/REM, 2007 and 2009). They sometimes sign the reports issued following loading, even though they were not present, or sometimes the officer in question does not have the expertise required to carry out certain checks, such as recognising different species. The administrations have not developed systematic procedures for verifying the identity of species during the export operations (Expert consultation, 2019);
•    Corruption: the World Bank (2011) reports that there is a strong feeling amongst users that customs procedures in Cameroon are tainted by corruption. The ECOFIN (2017) relays the National Anti-corruption Commission’s estimate that between 2010 and 2015, Cameroon lost 1,246 billion CFA francs through corruption and fraud within the country’s customs services; 
•    The absence of a single database accessible to all officials responsible for carrying out the checks, coupled with a lack of synergy and communication between the administrations (IM/AGRECO-CEW, 2013). Some administrations have developed systems to monitor export data, for example COMCAM for the forest administration at the port and SYDONIA for customs. However, these systems are not connected. Collaboration is weak in terms of sharing information between and within administrations. The title management database (SIGIF, managed by the Ministry of Forests) and COMCAM are not connected either.
Risks specific to wood in transit from the Central African Republic or the Republic of the Congo: 
•    A lack of any common or coordinated wood traceability system and the fact that information is not shared means that there is a risk that wood that has been harvested illegally abroad comes into Cameroon and is then exported without it being detected as illegal wood (Expert consultation, 2019). 
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Environment Impact assessment report
2
Verify Environmental and Social Management Plan
If applicable, also check a follow-up report from the administration on the implementation of the environmental and social management plan.
Description of legal requirements
Environmental impact assessments shall be developed
VIEW MORE
All requirements linked to processing timber are closely linked to further exporting of the timber.
Applicable legislation
  • Decree n°79/096 of 21 March 1979 establishing the modalities for exercising occupational healthcare, 1979.
  • Joint order n°025/MTPS and n°042/MSP of 28 November 1981., 1981.
  • Joint order n°073/MINAT/MINVIL of 25 May 2000 specifying the modalities for applying certain public health and safety rules, 2000.
  • Law n°92-007 of 14 August 1992 on the Labour Code, 1992.
  • Law n°96/03 of 4 January 1996 establishing a framework law in the health domain, 1996.
  • Order n°015/MTPS/IMT of 15 October 1979;, 1979.
  • Order n°039/MTPS/IMT of 26 November 1984 establishing the general rules for health and safety at work, 1984.
VIEW LESS
1.24 Environmental Requirements for Processing
Last updated on 2021-12-15 The environmental and social management plans arising from the ESIAs are not implemented Specified RISK
The following risks have been identified in relation to wood exports:•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and... VIEW MOREThe following risks have been identified in relation to wood exports:
•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and those arriving into the importing countries have been highlighted, notably with Vietnam, Belgium and China. False declarations regarding volumes notably enable exporters to avoid paying export taxes;
•    Species that are banned from being harvested or exported in logs are exported in violation of the regulations (IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Wood is exported by companies that are not in possession of a wood exporter accreditation. Some companies manage to export wood under the “other goods” category, only going via the Ministry of Trade, without a certificate of registration as a wood exporter (Mahonghol, D. et al., 2016). It is difficult for traders who are not themselves wood processors to obtain the required wood exporter accreditation from the Ministry of Forests. They therefore rely on a loophole in the system and bypass the specific procedures applicable to wood. This loophole may also notably be exploited by processing companies or logging operators who are not up to date with their taxes (Expert consultation, 2019);
•    Quotas for exporting wood in logs are exceeded or trafficked (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013): companies may purchase their log export quotas under the guise of purchasing wood stock from another company, when in reality they are exporting their own wood that does not have a log export permit. False timber purchasing agreements are also used to support the use of another company’s quotas.
Illegal practices in the wood export sector are facilitated by: 
•    Containers being loaded and sealed outside of the port area and/or in the absence of any customs officers or officials from the Ministry of Forests. Due to a lack of material and human resources, the appointed representatives (MINFOF/customs) are not always able to attend the loading operations (IM-FLEG/REM, 2007 and 2009). They sometimes sign the reports issued following loading, even though they were not present, or sometimes the officer in question does not have the expertise required to carry out certain checks, such as recognising different species. The administrations have not developed systematic procedures for verifying the identity of species during the export operations (Expert consultation, 2019);
•    Corruption: the World Bank (2011) reports that there is a strong feeling amongst users that customs procedures in Cameroon are tainted by corruption. The ECOFIN (2017) relays the National Anti-corruption Commission’s estimate that between 2010 and 2015, Cameroon lost 1,246 billion CFA francs through corruption and fraud within the country’s customs services; 
•    The absence of a single database accessible to all officials responsible for carrying out the checks, coupled with a lack of synergy and communication between the administrations (IM/AGRECO-CEW, 2013). Some administrations have developed systems to monitor export data, for example COMCAM for the forest administration at the port and SYDONIA for customs. However, these systems are not connected. Collaboration is weak in terms of sharing information between and within administrations. The title management database (SIGIF, managed by the Ministry of Forests) and COMCAM are not connected either.
Risks specific to wood in transit from the Central African Republic or the Republic of the Congo: 
•    A lack of any common or coordinated wood traceability system and the fact that information is not shared means that there is a risk that wood that has been harvested illegally abroad comes into Cameroon and is then exported without it being detected as illegal wood (Expert consultation, 2019). 
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Environmental and Social Management Plan
If applicable, also check a follow-up report from the administration on the implementation of the environmental and social management plan.
2
Verify Environment Impact assessment report
Description of legal requirements
Environmental impact assessments shall be implemented
VIEW MORE
All requirements linked to processing timber are closely linked to further exporting of the timber.
Applicable legislation
  • Decree n°79/096 of 21 March 1979 establishing the modalities for exercising occupational healthcare, 1979.
  • Joint order n°025/MTPS and n°042/MSP of 28 November 1981., 1981.
  • Joint order n°073/MINAT/MINVIL of 25 May 2000 specifying the modalities for applying certain public health and safety rules, 2000.
  • Law n°64/LF-23 of 13 November 1964 on the protection of public health in Cameroon, 1964.
  • Law n°92-007 of 14 August 1992 on the Labour Code, 1992.
  • Law n°96/03 of 4 January 1996 establishing a framework law in the health domain, 1996.
  • Order n°015/MTPS/IMT of 15 October 1979;, 1979.
  • Order n°039/MTPS/IMT of 26 November 1984 establishing the general rules for health and safety at work, 1984.
VIEW LESS
1.24 Environmental Requirements for Processing
Last updated on 2021-12-15 The standards for processing waste and sewage are not respected Specified RISK
The following risks have been identified in relation to wood exports:•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and... VIEW MOREThe following risks have been identified in relation to wood exports:
•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and those arriving into the importing countries have been highlighted, notably with Vietnam, Belgium and China. False declarations regarding volumes notably enable exporters to avoid paying export taxes;
•    Species that are banned from being harvested or exported in logs are exported in violation of the regulations (IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Wood is exported by companies that are not in possession of a wood exporter accreditation. Some companies manage to export wood under the “other goods” category, only going via the Ministry of Trade, without a certificate of registration as a wood exporter (Mahonghol, D. et al., 2016). It is difficult for traders who are not themselves wood processors to obtain the required wood exporter accreditation from the Ministry of Forests. They therefore rely on a loophole in the system and bypass the specific procedures applicable to wood. This loophole may also notably be exploited by processing companies or logging operators who are not up to date with their taxes (Expert consultation, 2019);
•    Quotas for exporting wood in logs are exceeded or trafficked (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013): companies may purchase their log export quotas under the guise of purchasing wood stock from another company, when in reality they are exporting their own wood that does not have a log export permit. False timber purchasing agreements are also used to support the use of another company’s quotas.
Illegal practices in the wood export sector are facilitated by: 
•    Containers being loaded and sealed outside of the port area and/or in the absence of any customs officers or officials from the Ministry of Forests. Due to a lack of material and human resources, the appointed representatives (MINFOF/customs) are not always able to attend the loading operations (IM-FLEG/REM, 2007 and 2009). They sometimes sign the reports issued following loading, even though they were not present, or sometimes the officer in question does not have the expertise required to carry out certain checks, such as recognising different species. The administrations have not developed systematic procedures for verifying the identity of species during the export operations (Expert consultation, 2019);
•    Corruption: the World Bank (2011) reports that there is a strong feeling amongst users that customs procedures in Cameroon are tainted by corruption. The ECOFIN (2017) relays the National Anti-corruption Commission’s estimate that between 2010 and 2015, Cameroon lost 1,246 billion CFA francs through corruption and fraud within the country’s customs services; 
•    The absence of a single database accessible to all officials responsible for carrying out the checks, coupled with a lack of synergy and communication between the administrations (IM/AGRECO-CEW, 2013). Some administrations have developed systems to monitor export data, for example COMCAM for the forest administration at the port and SYDONIA for customs. However, these systems are not connected. Collaboration is weak in terms of sharing information between and within administrations. The title management database (SIGIF, managed by the Ministry of Forests) and COMCAM are not connected either.
Risks specific to wood in transit from the Central African Republic or the Republic of the Congo: 
•    A lack of any common or coordinated wood traceability system and the fact that information is not shared means that there is a risk that wood that has been harvested illegally abroad comes into Cameroon and is then exported without it being detected as illegal wood (Expert consultation, 2019). 
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Field verification
1
Visit processing site
Verify that processing waste and sewage is compliant with the applicable regulations
Description of legal requirements
Processing waste and sewage shall comply with applicable regulations.
VIEW MORE
All requirements linked to processing timber are closely linked to further exporting of the timber.
Applicable legislation
  • Decree n°79/096 of 21 March 1979 establishing the modalities for exercising occupational healthcare, 1979.
  • Joint order n°025/MTPS and n°042/MSP of 28 November 1981., 1981.
  • Joint order n°073/MINAT/MINVIL of 25 May 2000 specifying the modalities for applying certain public health and safety rules, 2000.
  • Law n°64/LF-23 of 13 November 1964 on the protection of public health in Cameroon, 1964.
  • Law n°92-007 of 14 August 1992 on the Labour Code, 1992.
  • Law n°96/03 of 4 January 1996 establishing a framework law in the health domain, 1996.
  • Order n°015/MTPS/IMT of 15 October 1979;, 1979.
  • Order n°039/MTPS/IMT of 26 November 1984 establishing the general rules for health and safety at work, 1984.
VIEW LESS
1.24 Environmental Requirements for Processing
Last updated on 2021-12-15 There is no authorisation or declaration as classified hazardous establishment, depending on cases Specified RISK
The following risks have been identified in relation to wood exports:•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and... VIEW MOREThe following risks have been identified in relation to wood exports:
•    Wood is exported without a logging licence under the guise of a falsely declared origin (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Fraudulent declarations are made regarding species and their quantities. Differences between recorded production and exports (MEF, 2006), or even between the declarations of volumes exported from Cameroon and those arriving into the importing countries have been highlighted, notably with Vietnam, Belgium and China. False declarations regarding volumes notably enable exporters to avoid paying export taxes;
•    Species that are banned from being harvested or exported in logs are exported in violation of the regulations (IM/AGRECO-CEW, 2013, CED-EIA, 2020);
•    Wood is exported by companies that are not in possession of a wood exporter accreditation. Some companies manage to export wood under the “other goods” category, only going via the Ministry of Trade, without a certificate of registration as a wood exporter (Mahonghol, D. et al., 2016). It is difficult for traders who are not themselves wood processors to obtain the required wood exporter accreditation from the Ministry of Forests. They therefore rely on a loophole in the system and bypass the specific procedures applicable to wood. This loophole may also notably be exploited by processing companies or logging operators who are not up to date with their taxes (Expert consultation, 2019);
•    Quotas for exporting wood in logs are exceeded or trafficked (IM-FLEG/REM, 2007 and 2009, IM/AGRECO-CEW, 2013): companies may purchase their log export quotas under the guise of purchasing wood stock from another company, when in reality they are exporting their own wood that does not have a log export permit. False timber purchasing agreements are also used to support the use of another company’s quotas.
Illegal practices in the wood export sector are facilitated by: 
•    Containers being loaded and sealed outside of the port area and/or in the absence of any customs officers or officials from the Ministry of Forests. Due to a lack of material and human resources, the appointed representatives (MINFOF/customs) are not always able to attend the loading operations (IM-FLEG/REM, 2007 and 2009). They sometimes sign the reports issued following loading, even though they were not present, or sometimes the officer in question does not have the expertise required to carry out certain checks, such as recognising different species. The administrations have not developed systematic procedures for verifying the identity of species during the export operations (Expert consultation, 2019);
•    Corruption: the World Bank (2011) reports that there is a strong feeling amongst users that customs procedures in Cameroon are tainted by corruption. The ECOFIN (2017) relays the National Anti-corruption Commission’s estimate that between 2010 and 2015, Cameroon lost 1,246 billion CFA francs through corruption and fraud within the country’s customs services; 
•    The absence of a single database accessible to all officials responsible for carrying out the checks, coupled with a lack of synergy and communication between the administrations (IM/AGRECO-CEW, 2013). Some administrations have developed systems to monitor export data, for example COMCAM for the forest administration at the port and SYDONIA for customs. However, these systems are not connected. Collaboration is weak in terms of sharing information between and within administrations. The title management database (SIGIF, managed by the Ministry of Forests) and COMCAM are not connected either.
Risks specific to wood in transit from the Central African Republic or the Republic of the Congo: 
•    A lack of any common or coordinated wood traceability system and the fact that information is not shared means that there is a risk that wood that has been harvested illegally abroad comes into Cameroon and is then exported without it being detected as illegal wood (Expert consultation, 2019). 
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Description of legal requirements
Establishments classified as hazardous shall have an authorisation or declaration.
VIEW MORE
All requirements linked to processing timber are closely linked to further exporting of the timber.
Applicable legislation
  • Decree n°79/096 of 21 March 1979 establishing the modalities for exercising occupational healthcare, 1979.
  • Joint order n°025/MTPS and n°042/MSP of 28 November 1981., 1981.
  • Joint order n°073/MINAT/MINVIL of 25 May 2000 specifying the modalities for applying certain public health and safety rules, 2000.
  • Law n°64/LF-23 of 13 November 1964 on the protection of public health in Cameroon, 1964.
  • Law n°92-007 of 14 August 1992 on the Labour Code, 1992.
  • Law n°96/03 of 4 January 1996 establishing a framework law in the health domain, 1996.
  • Order n°015/MTPS/IMT of 15 October 1979;, 1979.
  • Order n°039/MTPS/IMT of 26 November 1984 establishing the general rules for health and safety at work, 1984.
VIEW LESS
1.26 Health and Safety in the Timber Processing Sector
Last updated on 2021-12-15 Workers are not declared to the National Social Insurance Fund (CNPS), accidents at work are not declared and workers are not provided with the appropriate care in the event of an accident or illness Specified RISK
There is a high risk that companies do not respect the regulatory requirements in relation to health and safety at work, with the exception of companies part of a certification system.The associated risks are:•    No medical service/infirmary/first aid kit/partnership contract with a health centre/occupational doctor is established (Expert consultation, 2019);•    Workers are not provided with the appropriate care in the event of an acc... VIEW MOREThere is a high risk that companies do not respect the regulatory requirements in relation to health and safety at work, with the exception of companies part of a certification system.
The associated risks are:
•    No medical service/infirmary/first aid kit/partnership contract with a health centre/occupational doctor is established (Expert consultation, 2019);
•    Workers are not provided with the appropriate care in the event of an accident or illness (Expert consultation, 2019); 
•    Accidents at work are not declared to the National Social Insurance Fund (CNPS) (Expert consultation, 2019);
•    Workers are not declared to the CNPS (Expert consultation, 2019);
•    The required Health and Safety Committee is not created or is not run properly (for companies with more than 50 employees) (Expert consultation, 2019);
•    Employees do not receive a medical check-up when first hired (Expert consultation, 2019);
•    Employees do not receive annual medical check-ups (Expert consultation, 2019);
•    No drinking water is available at sites and work premises (Expert consultation, 2019);
•    No decent accommodation is provided in forest camps (Expert consultation, 2019);
•    Employees are not provided with personal protective equipment (gloves, uniforms suitable for their specific job, helmet, protective footwear, etc.) (SNOIE/FODER, 2016). Accidents at work occur regularly at logging sites and timber processing units;
•    A first aid kit is not available at each workstation (Expert consultation, 2019);
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationField verification
1
Verify Document providing proof that workers are registered with the CNPS
2
Verify Certificate delivered by CNPS
3
Visit Harvesting site
While visiting harvesting site, interview workers to check that they have appropriate care in the event of an accident or illness
Description of legal requirements
Workers shall be declared to the CNPS and shall benefit from appropriate care in the event of an accident or illness.
VIEW MORE
All companies must provide their employees with medical and healthcare services. Such services must be suited to the individual company’s context and scope of work. The size of the occupational health service depends on the size of the company. Its main role is to oversee all industrial hygiene conditions, risks of contagion and the health of all individuals (and their partners and children) working for the employer.
This service is also responsible for implementing appropriate preventive measures, whilst ensuring that all necessary medical treatment is compliant with the regulations in force. Workers must notably receive a medical check-up when they are first recruited and periodically thereafter.
Companies of more than 50 employees must set up a Health and Safety Committee.
Cameroonian law also requires all companies to provide their workers with safety equipment that is suitable for their role, which they must service and replace as required. Finally, any worker displaced for the execution of an employment contract must benefit from sufficient and decent accommodation (art. 66 Law n°92-007). This situation is frequent and the logging company's employees are often accommodated in forest camps.
 
Applicable legislation
  • Decree n°79/096 of 21 March 1979 establishing the modalities for exercising occupational healthcare, 1979.
  • Joint order n°025/MTPS and n°042/MSP of 28 November 1981., 1981.
  • Joint order n°073/MINAT/MINVIL of 25 May 2000 specifying the modalities for applying certain public health and safety rules, 2000.
  • Law n°64/LF-23 of 13 November 1964 on the protection of public health in Cameroon, 1964.
  • Law n°92-007 of 14 August 1992 on the Labour Code, 1992.
  • Law n°96/03 of 4 January 1996 establishing a framework law in the health domain, 1996.
  • Order n°015/MTPS/IMT of 15 October 1979;, 1979.
  • Order n°039/MTPS/IMT of 26 November 1984 establishing the general rules for health and safety at work, 1984.
VIEW LESS
1.26 Health and Safety in the Timber Processing Sector
Last updated on 2021-12-15 The regulatory provisions related to occupational health are not implemented in processing sector. Specified RISK
There is a high risk that companies do not respect the regulatory requirements in relation to health and safety at work, with the exception of companies part of a certification system.The associated risks are:•    No medical service/infirmary/first aid kit/partnership contract with a health centre/occupational doctor is established (Expert consultation, 2019);•    Workers are not provided with the appropriate care in the event of an acc... VIEW MOREThere is a high risk that companies do not respect the regulatory requirements in relation to health and safety at work, with the exception of companies part of a certification system.
The associated risks are:
•    No medical service/infirmary/first aid kit/partnership contract with a health centre/occupational doctor is established (Expert consultation, 2019);
•    Workers are not provided with the appropriate care in the event of an accident or illness (Expert consultation, 2019); 
•    Accidents at work are not declared to the National Social Insurance Fund (CNPS) (Expert consultation, 2019);
•    Workers are not declared to the CNPS (Expert consultation, 2019);
•    The required Health and Safety Committee is not created or is not run properly (for companies with more than 50 employees) (Expert consultation, 2019);
•    Employees do not receive a medical check-up when first hired (Expert consultation, 2019);
•    Employees do not receive annual medical check-ups (Expert consultation, 2019);
•    No drinking water is available at sites and work premises (Expert consultation, 2019);
•    No decent accommodation is provided in forest camps (Expert consultation, 2019);
•    Employees are not provided with personal protective equipment (gloves, uniforms suitable for their specific job, helmet, protective footwear, etc.) (SNOIE/FODER, 2016). Accidents at work occur regularly at logging sites and timber processing units;
•    A first aid kit is not available at each workstation (Expert consultation, 2019);
 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationField verification
1
Verify Documents indicating the existence of a dedicated occupational health service
2
Verify Reports of medical check-ups conducted annually or upon recruitment
3
Verify Document indicating that personal protective equipment for workers has been provided
4
Visit Harvesting site
While visiting Harvesting site, check that personal protective equipment is available and that decent housing is provided to workers within forest camps
Description of legal requirements
Regulatory provisions related to occupational health shall be implemented.
VIEW MORE
All companies must provide their employees with medical and healthcare services. Such services must be suited to the individual company’s context and scope of work. The size of the occupational health service depends on the size of the company. Its main role is to oversee all industrial hygiene conditions, risks of contagion and the health of all individuals (and their partners and children) working for the employer.
This service is also responsible for implementing appropriate preventive measures, whilst ensuring that all necessary medical treatment is compliant with the regulations in force. Workers must notably receive a medical check-up when they are first recruited and periodically thereafter.
Companies of more than 50 employees must set up a Health and Safety Committee.
Cameroonian law also requires all companies to provide their workers with safety equipment that is suitable for their role, which they must service and replace as required. Finally, any worker displaced for the execution of an employment contract must benefit from sufficient and decent accommodation (art. 66 Law n°92-007). This situation is frequent and the logging company's employees are often accommodated in forest camps.
 
Applicable legislation
  • Decree n°79/096 of 21 March 1979 establishing the modalities for exercising occupational healthcare, 1979.
  • Joint order n°025/MTPS and n°042/MSP of 28 November 1981., 1981.
  • Joint order n°073/MINAT/MINVIL of 25 May 2000 specifying the modalities for applying certain public health and safety rules, 2000.
  • Law n°64/LF-23 of 13 November 1964 on the protection of public health in Cameroon, 1964.
  • Law n°92-007 of 14 August 1992 on the Labour Code, 1992.
  • Law n°96/03 of 4 January 1996 establishing a framework law in the health domain, 1996.
  • Order n°015/MTPS/IMT of 15 October 1979;, 1979.
  • Order n°039/MTPS/IMT of 26 November 1984 establishing the general rules for health and safety at work, 1984.
VIEW LESS
1.27 Legal Employment in The Timber Processing Sector
Last updated on 2021-12-15 Employment contracts are not registered with the labour administration Specified RISK
Failure to comply with legal employment requirements presents a high risk, except for companies that are part of a certification system. The main breaches observed are as follows: •    Companies have no internal regulations; (Expert consultation, 2019);•    Workers do not have an employment contract registered with the administration (SNOIE/FODER, 2016, CED-EIA, 2020);•    The company does not record or pay social security contrib... VIEW MOREFailure to comply with legal employment requirements presents a high risk, except for companies that are part of a certification system. The main breaches observed are as follows: 
•    Companies have no internal regulations; (Expert consultation, 2019);
•    Workers do not have an employment contract registered with the administration (SNOIE/FODER, 2016, CED-EIA, 2020);
•    The company does not record or pay social security contributions to the CNPS for its workers (SNOIE/FODER, 2016);
•    Workers are not given a weekly rest day (Expert consultation, 2019);
•    Workers are not given annual leave (Expert consultation, 2019);
•    Workers’ remuneration does not comply with the requirements set out in the collective bargaining agreement, in particular for the application of workers’ categories (Expert consultation, 2019);
•    Workers are not paid by way of a payslip (CED-EIA, 2020);
•    Workers without an employment contract are paid below the minimum wage (Expert consultation, 2019).

 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationField verification
1
Verify Declaration of establishment to the labour administration
2
Verify Proof that workers are registered with the National Social Security Fund (CNPS)
3
Verify Employment contracts
4
Visit Harvesting site
Interview workers to check that they have an employment contract, a social security booklet, etc. Review those documents.
Description of legal requirements
Workers shall have an employment contract registered with the labor administration.
VIEW MORE
Every company must declare to the labour inspectorate the details of the workforce employed (Art. 115 law n°92/007).
Cameroon’s Labour Code classifies employment relationships into standard and non-standard contracts. The first category includes temporary and permanent employment contracts, whilst the second comprises apprenticeship contracts, piecework and unstable employment contracts (travail précaire). 
The Labour Code currently applicable in Cameroon introduces updates in relation to travail précaire and lists the conditions under which an employment relationship can be legally qualified as such (Article 25-4, Law n°92/007). 
All employment contracts must be subject to a declaration to the territorially competent labour administration. A declaration must also be made to the National Social Insurance Fund (CNPS), to which the employer must pay monthly contributions. The legal minimum working age must be respected during all recruitment processes. The Labour Code limits the age for employment to 14 (Article 86.1 of Law n°92/007), however parental authorisation is required for all employees below the age of 21.
Companies must establish a set of internal regulations.
The minimum wage must be respected for all workers.
Workers’ classifications must factor in the jobs provided for in the forest sector collective bargaining agreement. Workers must receive their remuneration by way of a payslip no later than 8 days after the end of the month. 
Workers have the right to organise themselves into staff representative bodies and join trade unions.  
Each working day lasts 8 hours. Additional hours are permitted but only following authorisation from the labour administration. The right to a weekly rest day and annual leave must be respected.
In the event of force majeure, the employer may decide to interrupt its activities by agreement with the staff representatives and the administration. The most common reasons include forced leave (congé technique), scheduled shutdown (arrêt technique), and financial problems, etc.
 
Applicable legislation
  • Decree n°018/MTPS/SG/CJ of 26 May 1993 establishing the conditions that worker accommodation must meet, minimum rates and modalities for allocating a compensatory housing allowance, 1993.
  • Decree n°75/28 of 10 January 1975 on the modalities for the implementation of paid leave;, 1975.
  • Decree n°93/574 of 15 July 1993 determining the form of professional trade unions admitted for registration, 1993.
  • Decree n°95/677/PM of 18 December 1995 concerning derogations to statutory working hours;, 1995.
  • Law n°92-007 of 14 August 1992 on the Labour Code, 1992.
  • Order n°011/MTPS/DT of 28 April 1971 on the procedure for reclassifying workers into sectoral professional classification categories;, 1971.
  • Order n°016/MTPS/DEGRE/SEJS of 15 July 1968 relating to the supporting documents that prove payment of salaries, 1968.
  • Order n°019/MTPS/SG/CJ of 26 May 1993 establishing the election procedures and the conditions for exercising staff representative duties, 1993.
  • Order n°21/MTPS/SG/CJ of 26 May 1993 establishing the modalities for dismissals for financial reasons, 1993.
VIEW LESS
1.27 Legal Employment in The Timber Processing Sector
Last updated on 2021-12-15 The minimum wage or wage provided for by the collective bargaining agreement based on workers’ categories is not respected is not respected Specified RISK
Failure to comply with legal employment requirements presents a high risk, except for companies that are part of a certification system. The main breaches observed are as follows: •    Companies have no internal regulations; (Expert consultation, 2019);•    Workers do not have an employment contract registered with the administration (SNOIE/FODER, 2016, CED-EIA, 2020);•    The company does not record or pay social security contrib... VIEW MOREFailure to comply with legal employment requirements presents a high risk, except for companies that are part of a certification system. The main breaches observed are as follows: 
•    Companies have no internal regulations; (Expert consultation, 2019);
•    Workers do not have an employment contract registered with the administration (SNOIE/FODER, 2016, CED-EIA, 2020);
•    The company does not record or pay social security contributions to the CNPS for its workers (SNOIE/FODER, 2016);
•    Workers are not given a weekly rest day (Expert consultation, 2019);
•    Workers are not given annual leave (Expert consultation, 2019);
•    Workers’ remuneration does not comply with the requirements set out in the collective bargaining agreement, in particular for the application of workers’ categories (Expert consultation, 2019);
•    Workers are not paid by way of a payslip (CED-EIA, 2020);
•    Workers without an employment contract are paid below the minimum wage (Expert consultation, 2019).

 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verification
1
Verify Workers payslips
2
Verify Harvesting site
Interview workers to check that they benefit from minimum wage.
Description of legal requirements
Workers shall benefit from minimum wage provided for by law or by the collective bargaining agreement based on their category.
VIEW MORE
Every company must declare to the labour inspectorate the details of the workforce employed (Art. 115 law n°92/007).
Cameroon’s Labour Code classifies employment relationships into standard and non-standard contracts. The first category includes temporary and permanent employment contracts, whilst the second comprises apprenticeship contracts, piecework and unstable employment contracts (travail précaire). 
The Labour Code currently applicable in Cameroon introduces updates in relation to travail précaire and lists the conditions under which an employment relationship can be legally qualified as such (Article 25-4, Law n°92/007). 
All employment contracts must be subject to a declaration to the territorially competent labour administration. A declaration must also be made to the National Social Insurance Fund (CNPS), to which the employer must pay monthly contributions. The legal minimum working age must be respected during all recruitment processes. The Labour Code limits the age for employment to 14 (Article 86.1 of Law n°92/007), however parental authorisation is required for all employees below the age of 21.
Companies must establish a set of internal regulations.
The minimum wage must be respected for all workers.
Workers’ classifications must factor in the jobs provided for in the forest sector collective bargaining agreement. Workers must receive their remuneration by way of a payslip no later than 8 days after the end of the month. 
Workers have the right to organise themselves into staff representative bodies and join trade unions.  
Each working day lasts 8 hours. Additional hours are permitted but only following authorisation from the labour administration. The right to a weekly rest day and annual leave must be respected.
In the event of force majeure, the employer may decide to interrupt its activities by agreement with the staff representatives and the administration. The most common reasons include forced leave (congé technique), scheduled shutdown (arrêt technique), and financial problems, etc.
 
Applicable legislation
  • Decree n°018/MTPS/SG/CJ of 26 May 1993 establishing the conditions that worker accommodation must meet, minimum rates and modalities for allocating a compensatory housing allowance, 1993.
  • Decree n°75/28 of 10 January 1975 on the modalities for the implementation of paid leave;, 1975.
  • Decree n°93/574 of 15 July 1993 determining the form of professional trade unions admitted for registration, 1993.
  • Decree n°95/677/PM of 18 December 1995 concerning derogations to statutory working hours;, 1995.
  • Law n°92-007 of 14 August 1992 on the Labour Code, 1992.
  • Order n°011/MTPS/DT of 28 April 1971 on the procedure for reclassifying workers into sectoral professional classification categories;, 1971.
  • Order n°016/MTPS/DEGRE/SEJS of 15 July 1968 relating to the supporting documents that prove payment of salaries, 1968.
  • Order n°019/MTPS/SG/CJ of 26 May 1993 establishing the election procedures and the conditions for exercising staff representative duties, 1993.
  • Order n°21/MTPS/SG/CJ of 26 May 1993 establishing the modalities for dismissals for financial reasons, 1993.
VIEW LESS
1.27 Legal Employment in The Timber Processing Sector
Last updated on 2021-12-15 The regulatory work-related provisions (rest days, leave, internal regulations, etc.) are not respected Specified RISK
Failure to comply with legal employment requirements presents a high risk, except for companies that are part of a certification system. The main breaches observed are as follows: •    Companies have no internal regulations; (Expert consultation, 2019);•    Workers do not have an employment contract registered with the administration (SNOIE/FODER, 2016, CED-EIA, 2020);•    The company does not record or pay social security contrib... VIEW MOREFailure to comply with legal employment requirements presents a high risk, except for companies that are part of a certification system. The main breaches observed are as follows: 
•    Companies have no internal regulations; (Expert consultation, 2019);
•    Workers do not have an employment contract registered with the administration (SNOIE/FODER, 2016, CED-EIA, 2020);
•    The company does not record or pay social security contributions to the CNPS for its workers (SNOIE/FODER, 2016);
•    Workers are not given a weekly rest day (Expert consultation, 2019);
•    Workers are not given annual leave (Expert consultation, 2019);
•    Workers’ remuneration does not comply with the requirements set out in the collective bargaining agreement, in particular for the application of workers’ categories (Expert consultation, 2019);
•    Workers are not paid by way of a payslip (CED-EIA, 2020);
•    Workers without an employment contract are paid below the minimum wage (Expert consultation, 2019).

 
References
VIEW LESS
The risk applies to the following source types
  • Community Forests
  • Council forests
  • National forests (all other forest areas)
  • Private forests
  • State (production) Forests (UFA)
Risk mitigation options
Document verificationField verification
1
Verify Documents relating to the election of staff representatives
2
Visit Harvesting site
Interview workers to check that they benefit from rest days and annual leave, are over the minimum legal age, and are being paid within the regulatory time frame, etc.
Description of legal requirements
Regulatory work-related provisions (rest days, leave, internal regulations, etc.) shall be respected.
VIEW MORE
Every company must declare to the labour inspectorate the details of the workforce employed (Art. 115 law n°92/007).
Cameroon’s Labour Code classifies employment relationships into standard and non-standard contracts. The first category includes temporary and permanent employment contracts, whilst the second comprises apprenticeship contracts, piecework and unstable employment contracts (travail précaire). 
The Labour Code currently applicable in Cameroon introduces updates in relation to travail précaire and lists the conditions under which an employment relationship can be legally qualified as such (Article 25-4, Law n°92/007). 
All employment contracts must be subject to a declaration to the territorially competent labour administration. A declaration must also be made to the National Social Insurance Fund (CNPS), to which the employer must pay monthly contributions. The legal minimum working age must be respected during all recruitment processes. The Labour Code limits the age for employment to 14 (Article 86.1 of Law n°92/007), however parental authorisation is required for all employees below the age of 21.
Companies must establish a set of internal regulations.
The minimum wage must be respected for all workers.
Workers’ classifications must factor in the jobs provided for in the forest sector collective bargaining agreement. Workers must receive their remuneration by way of a payslip no later than 8 days after the end of the month. 
Workers have the right to organise themselves into staff representative bodies and join trade unions.  
Each working day lasts 8 hours. Additional hours are permitted but only following authorisation from the labour administration. The right to a weekly rest day and annual leave must be respected.
In the event of force majeure, the employer may decide to interrupt its activities by agreement with the staff representatives and the administration. The most common reasons include forced leave (congé technique), scheduled shutdown (arrêt technique), and financial problems, etc.
 
Applicable legislation
  • Decree n°018/MTPS/SG/CJ of 26 May 1993 establishing the conditions that worker accommodation must meet, minimum rates and modalities for allocating a compensatory housing allowance, 1993.
  • Decree n°75/28 of 10 January 1975 on the modalities for the implementation of paid leave;, 1975.
  • Decree n°93/574 of 15 July 1993 determining the form of professional trade unions admitted for registration, 1993.
  • Decree n°95/677/PM of 18 December 1995 concerning derogations to statutory working hours;, 1995.
  • Law n°92-007 of 14 August 1992 on the Labour Code, 1992.
  • Order n°011/MTPS/DT of 28 April 1971 on the procedure for reclassifying workers into sectoral professional classification categories;, 1971.
  • Order n°016/MTPS/DEGRE/SEJS of 15 July 1968 relating to the supporting documents that prove payment of salaries, 1968.
  • Order n°019/MTPS/SG/CJ of 26 May 1993 establishing the election procedures and the conditions for exercising staff representative duties, 1993.
  • Order n°21/MTPS/SG/CJ of 26 May 1993 establishing the modalities for dismissals for financial reasons, 1993.
VIEW LESS
For smoother experience please switch do your desktop.
We are currently working on impoving our mobile interface. Thank you for your understanding.