Introduction
It is often pointed out that most armed conflicts since the Second World War have been of a non-international nature, as they have involved at least one non-State armed group. This might suggest that the protection of prisoners of war (POWs) has become a side issue, as PoW status applies only to enemy combatants captured while participating in international armed conflicts, which mainly comprise conflicts between States.Footnote 1
Such an interpretation would be a mistake, however. Jurisdictions such as the International Criminal Tribunal for the former Yugoslavia (ICTY) and the Eritrea–Ethiopia Claims Commission have produced detailed case law on the treatment of PoWs during the conflict in Yugoslavia,Footnote 2 which involved international aspects, and the conflict between Ethiopia and Eritrea (1998–2000), respectively.Footnote 3 The protection of PoWs has also returned to the fore in the wake of recent international armed conflicts, such as that between Armenia and Azerbaijan in 2020, which resumed in 2022,Footnote 4 and the ongoing armed conflict between Ukraine and Russia.Footnote 5 Unlike other contemporary international armed conflicts,Footnote 6 these have led to the capture of large numbers of combatants by the belligerents. They have also raised significant concerns regarding the protection of PoWs. The principal concerns relate to the humane treatment of those detainees, which is associated with a number of fundamental rights including the right to life, the right not to suffer torture, the right not to undergo inhuman or degrading treatmentFootnote 7 and the right to due process of law.Footnote 8 Those concerns are clearly justified, as evidenced by the various reports listing violations of these fundamental rights.Footnote 9 Furthermore, such conflicts – especially that between Ukraine and Russia – have also highlighted the difficulties of applying the protection of PoWs as regards labour. There have been reports of Ukrainian PoWs being required to carry out humiliating or degrading work, such as collecting and loading corpses,Footnote 10 or work that contributed directly to the war effort of the Detaining Power, such as loading artillery munitions for the Russian armed forces.Footnote 11
These events raise questions regarding the current rules governing work carried out by PoWs. Those rules date mainly from 1949, when Geneva Convention III relative to the Treatment of Prisoners of War (GC III) was adopted. The main issue is therefore whether the regime set out in GC III should be adapted in light of contemporary concerns regarding detention and the refocusing of work in detention on the interests and rights of detainees. This paper pursues that objective by first explaining the origins and content of the current applicable rules, before highlighting their shortcomings, particularly in light of the general spirit underlying the protection of PoWs. It then proposes enhanced labour protection for PoWs, based on a systemic approach derived either from international humanitarian law (IHL) itself or from the complementary relationship between that branch of law and international human rights law (IHRL).
The origins and content of the rules governing work by prisoners of war
PoWs enjoy a protected status that confers a number of rights on combatants who have been captured. However, it also includes certain obligations that serve the interests of the Detaining Power, and those obligations include that of performing forced labour. The rules governing PoW labour stem from a long process that has resulted in detailed rules enshrined in both treaty and customary law.
History
PoWs have been put to work “from the days when the Romans first came to appreciate the economic value of prisoners of war as a source of labour”.Footnote 12 However, States only regulated PoW labour at the end of the nineteenth century, through the 1899 and 1907 Hague Conferences regarding the codification of the laws and customs of war. The 1899Footnote 13 and 1907Footnote 14 Hague Regulations both include a specific provision on this subject, allowing a Detaining Power to use the labour of PoWs.Footnote 15 They could work for the public service, for private persons or on their own account, but this work could not have any connection with operations of war, and prisoners had to receive payment for it.Footnote 16 The Regulations did not mention the types of work that PoWs could be required to perform; they merely prohibited work connected with operations of war and “excessive” labour, without defining the term “excessive”. The types of work that were prohibited had therefore to be decided on a case-by-case basis, which could lead to abuse. The Regulations did, however, require States wishing to employ PoWs to take account of their rank and aptitude. Officers could not be required to carry out any kind of work, in accordance with military custom.Footnote 17
A number of abuses were committed during the First World War, including the use of PoWs for tasks related to operations of war. In response to the mistreatment of PoWs during this conflict, the States set out more detailed rules on work in the 1929 Geneva Convention, which specifically addressed the protection of PoWs.Footnote 18 The rules in the new Convention were in part similar to those of the Hague Regulations. Firstly, the Convention recognized the right of the Detaining Power to employ PoWs as “workmen”Footnote 19 as long as their tasks had no direct connection with operations of war.Footnote 20 Secondly, it allowed for PoWs to work for private individuals,Footnote 21 but still did not list the types of work that they could be required to undertake. Article 31 concerning authorized work was formulated purely in the negative, giving an indicative list of tasks on which PoWs could not be employed. Tacitly, this was equivalent to stating that all types of work were permitted that were not prohibited. Furthermore, the 1929 Convention defined prohibited work only in general terms, leaving room for case-by-case decisions. Thirdly, it set out a specific regime regarding officers, conferring upon them the right to work. In addition, however, the 1929 Convention did introduce a series of new points. In particular, Article 32 stipulated that the Detaining Power must not employ PoWs on unhealthy or dangerous work. Furthermore, unlike the Hague Regulations, which made no explicit reference to non-commissioned officers, the 1929 Convention stipulated that such officers could only be compelled to undertake supervisory work but had a right to work if they so wished.Footnote 22
The Second World War saw flagrant violations of the labour regulations established by the 1929 Convention, in particular Articles 31 and 32, which prohibited work directly related to war operations and unhealthy or dangerous work.Footnote 23 This is one of the reasons that prompted States to further flesh out the legal regime governing PoW labour in GC III.
Contemporary rules
The rules embodied in GC III are partly based on those of previous treaties, such as the right of the detaining State to require PoWs to workFootnote 24 subject to the limits already recognized by the 1929 Convention, the possibility for PoWs to work for private individuals,Footnote 25 and specific legal regimes for officers, who may not be compelled to do any work,Footnote 26 as well as for non-commissioned officers, who may only be required to work in a supervisory capacity.Footnote 27 GC III hence fragments the work of PoWs, both ratione personae, in that the rules concerning work do not apply uniformly to all prisoners, and ratione materiae, in that the nature of the work they may perform varies.
However, the rules of GC III differ from earlier rules in a number of respects. One of the main differences is that GC III explicitly sets out the objectives of forced labour. Article 49(1) specifies that “[t]he Detaining Power may utilize the labour of prisoners of war who are physically fit, … with a view particularly to maintaining them in a good state of physical and mental health”.Footnote 28 According to the case law, it follows from this provision that PoWs undertake forced labour in their own interests.Footnote 29 These interests comprise a number of aspects. Work can be an effective means of breaking the monotony and boredom of what may be long periods of imprisonment. As the International Committee of the Red Cross (ICRC) rightly points out, PoWs “lose a sense of time, and the absence of any meaningful activity, coupled with isolation and uncertainty about the future, could lead to depression or other physical and mental health problems”.Footnote 30 Work also allows PoWs to earn money, as it is remunerated,Footnote 31 enabling them to buy items to improve their living conditions in the camp.Footnote 32 Finally, work gives PoWs the opportunity to acquire or maintain vocational skills that could be useful when they return to normal life at the end of hostilities.Footnote 33 However, the adverb “particularly” in Article 49(1), qualifying the main objective of forced labour, suggests that work is not intended only to serve the PoWs’ interests; GC III also takes account of the economic interests of the Detaining Power,Footnote 34 as indicated by the list of authorized types of forced labour.
Unlike earlier instruments, GC III lists the different types of forced labour that may be undertaken. It distinguishes between three main categories. The first consists of tasks that the Detaining Power may require PoWs to perform without any restriction. These are work connected with camp administration, installation or maintenance,Footnote 35 as well as forced labour in the areas of agriculture, commercial business, and arts and crafts.Footnote 36 The second category comprises work that the Detaining Power may compel PoWs to carry out, but subject to certain restrictions. This includes work in “industries connected with the production or extraction of raw materials, and manufacturing industries, with the exception of metallurgical, machinery and chemical industries”.Footnote 37 It is assumed that in the case of the last three, work would directly contribute to the Detaining Power's war effort. The other types of work that are authorized subject to restrictions include public works and building operations, transport and handling of stores, and public utility services,Footnote 38 provided that the operations, stores or services in question have “no military character or purpose”.Footnote 39 The third category comprises forced labour that is prohibited: work of an unhealthy or dangerous nature.Footnote 40
However, even if work is prohibited because it does not respect the restrictions of GC III or is subject to an absolute prohibition, PoWs may agree to carry it out. The Convention makes express provision for this as regards labour which is of an unhealthy or dangerous nature,Footnote 41 and practice as well as legal scholarship appear to permit it with respect to other prohibited types of labour.Footnote 42 It is admitted that legitimate consent does not violate Article 7 of GC III,Footnote 43 which provides that PoWs may not renounce the rights that the Convention grants them.Footnote 44 However, as the Commentary to GC III points out, “[c]onsidering the vulnerable and highly constrained situation of prisoners of war in the hands of a Detaining Power, caution must be exercised when considering the authenticity of the prisoner's consent”.Footnote 45 This caution is essential, and consent may be presumed to be absent where circumstances make it impossible for PoWs to express their consent freely.Footnote 46 According to the case law, such circumstances must be identified by applying certain criteria that indicate whether work was indeed carried out with the consent of the PoW concerned. Those criteria include the following:
a) the work being substantially uncompensated; b) the vulnerable position of the prisoners; c) allegations that detainees who are unable or unwilling to work are either forced to do so or put in solitary confinement; d) longer-term consequences of the labour; (e) the fact and the conditions of detention; (f) the physical consequences of the work on the health of prisoners.Footnote 47
This is not an exhaustive list, however. The ICTY has stated that “the determination of whether protected persons laboured involuntary [sic] is a factual question, which has to be considered in light of all factual circumstances on a case-by-case basis”.Footnote 48 The ICTY has also stated that
[i]n order to establish the mens rea requirement for the crime of unlawful labour, the Prosecution must prove that the perpetrator had the intent that the victim would be performing prohibited work. The intent can be demonstrated by direct explicit evidence, or, in the absence of such evidence, can be inferred from the circumstances in which the labour was performed.Footnote 49
The detailed rules set out in GC III are supplemented by rules of customary law, of which the ICRC Customary Law Study has established both the existence and content. These rules, which are deemed applicable during both international and non-international armed conflicts, include a prohibition formulated in broad terms: “Uncompensated or abusive forced labour is prohibited.”Footnote 50 The Customary Law Study reiterates the types of work that a PoW may be compelled to carry out under GC III, and adds two further prohibitions: deportation to slave labourFootnote 51 and compelling persons to serve in the forces of a hostile power.Footnote 52
Towards a relaxation of the rules compelling prisoners of war to work
While current rules regarding PoW forced labour are more detailed than those that applied previously, they are still not satisfactory, primarily because of the importance given to the interests of the Detaining Power. They need to be modified so as to focus on the interests and rights of PoWs.
Why the current rules are unsatisfactory
To address this issue, one must first examine the difficulties inherent in pursuing the Detaining Power's economic interests via forced labour, before refuting the argument that such work is absolutely necessary to serve the PoWs’ interests.
Forced labour and the economic interests of the Detaining Power
Most types of forced labour authorized by GC III serve the economic interests of the Detaining Power.Footnote 53 Pursuing such interests via PoWs’ forced labour is somewhat questionable. First of all, it is clear that those economic interests must be weighed against other international obligations, and that they do not allow the Detaining Power to contravene such obligations. In this respect, one major concern is that, although the work is authorized, it may contribute directly to the Detaining Power's war effort. This concern applies firstly to work that is authorized without restriction, such as agricultural work. As the ICRC notes, “[i]t could be argued that participating in agricultural activities can have some direct military value, as the food produced, for example, may be used for both civilians and military personnel”.Footnote 54 The ICTY has recognized that “prisoners of war may always be compelled to perform work in relation to agriculture, … regardless of whether the produce of their labour is intended for soldiers in the frontline”.Footnote 55 There is also a clear risk that PoWs will contribute directly to the Detaining Power's war effort by performing authorized work of the types that are subject to restrictions, when those restrictions are vague. Such work is authorized as long as it has no military character or purpose, but while the concept of “military character” is clear, as “everything which is commanded and regulated by the military authority is of military character, in contrast to what is commanded and regulated by the civil authorities”,Footnote 56 the concept of “military purpose” is more ambiguous. That concept depends on the main or sole purpose of the work that PoWs are required to perform, which must not be military in nature.Footnote 57 It is hence accepted that “prisoners of war may be employed on all work which, in the categories under consideration, normally serves to support civilian life, even if the military authorities incidentally benefit from it”.Footnote 58 These restrictions will clearly need to be examined on a case-by-case basis when the forced labour is carried out, and are open to broad interpretation by belligerents. This is evidenced by the experiences of the FirstFootnote 59 and SecondFootnote 60 World Wars, when PoWs were compelled to carry out work that played an important role in the war economy of the Detaining Power, “numerous abuses [having been] committed regarding the tasks that were assigned to them”.Footnote 61 Furthermore, work that was not carried out mainly or exclusively for military purposes, such as the renovation of a bridge, could rapidly prove decisive to the military operations of the Detaining Power. The 1929 Geneva Convention would therefore appear to have not completely eliminated the risk of forced labour directly contributing to the military action of the Detaining Power. And yet, as the historical development of the PoW labour regime shows, prohibiting such a contribution is one of the central tenets of that regime. As mentioned above, the 1899 and 1907 Hague Regulations and the 1929 Geneva Convention stipulated that work carried out by PoWs must have no direct link with military operations. However, during both World Wars, the belligerents had difficulty agreeing on the scope of this rule, as most work could be seen as a contribution to the national war effort.Footnote 62 In 1949, the question of contributions to the national war effort provoked particularly intense and prolonged discussions,Footnote 63 which led to the unsatisfactory solution of a list of authorized and prohibited types of work.
Forced labour carried out to serve the economic interests of the Detaining Power also raises the question of the more general spirit underlying the protection regime for PoWs. Captured combatants are interned solely to prevent them from returning to combat; their detention is hence justified only by security considerations, and not by any matters related to criminal prosecution.Footnote 64 In other words, PoWs are seen as “heroes and good men, who have the misfortune to be detained by the enemy for having performed their patriotic duty to their country”.Footnote 65 In fighting in accordance with IHL, combatants do not commit any criminal offence for which they should be penalized, even if, during the course of the fighting, they have killed, injured or captured members of the armed forces of the Detaining Power. Being forced to work for the economic interests of the Detaining Power could equate to a form of sanction or, at least, to a form of compensation for the prisoner's earlier participation in hostilities. This would be completely at odds with the purely security-related justification for their detention.
Finally, it is questionable whether the prerogative upon PoW forced labour for the economic interest of the Detaining Power is meaningful. Since such labour cannot be used by States to wage war, there is no reason why PoWs, who are detained for reasons related to the war, should be forced to work.
Forced labour and the interests of prisoners of war
The rules governing PoW labour should therefore be enhanced by focusing purely on PoWs’ interests, in accordance with the objective explicitly mentioned in Article 49(1) of GC III. However, the first step is to understand what those interests really are. They do not require that work be made compulsory, as Article 49 may seem to suggest. Firstly, maintaining PoWs in a good state of physical and mental health can also be achieved, at least in part, by exercising certain rights that the Convention confers upon them. Article 38, for instance, stipulates that
the Detaining Power shall encourage the practice of intellectual, educational, and recreational pursuits, sports and games amongst prisoners, and shall take the measures necessary to ensure the exercise thereof by providing them with adequate premises and necessary equipment. Prisoners shall have opportunities for taking physical exercise, including sports and games, and for being out of doors.Footnote 66
This provision is essential to PoWs’ well-being, as it makes it possible to “break the monotony of confinement”Footnote 67 and “promotes prisoners’ well-being by ensuring they have the means at their disposal to alleviate the hardships caused by their internment”.Footnote 68
Furthermore, the objective of having sufficient financial means to ensure decent conditions of detention is contained in the obligation set out in Article 15 of GC III, which provides that “[t]he Power detaining prisoners of war shall be bound to provide free of charge for their maintenance and for the medical attention required by their state of health”.Footnote 69 This obligation presupposes the existence of financial resources, and this in turn implies that “holding prisoners is a severe drain on the finances of the State, which are focused primarily on the war effort”.Footnote 70 However, even if the detaining State lacks financial resources, it is acknowledged in international case law that “the legal standards … are absolute, not relative. … [A] detaining power … cannot plead a lack of resources as legal justification for exposing individuals to conditions of detention that are inhumane.”Footnote 71 Moreover, such an obligation is unconditional,Footnote 72 in that “[n]o additional elements need to be fulfilled for the prisoners to benefit”.Footnote 73 The Commentary to GC III maintains that “[t]his obligation represents one of the most important aspects of the protection afforded to prisoners of war under the Third Convention”.Footnote 74 If the Detaining Power is unable to provide decent conditions of detention, it must either release the PoWs or transfer them to a State that is willing and able to detain them in accordance with GC III.Footnote 75 Articles 15 and 38 of the Convention indicate that the mental, physical and material well-being of PoWs is already taken into account, which reduces the need to impose forced labour upon prisoners in order to ensure their well-being.
It is possible to achieve the benefits to PoWs that work is intended to confer without resorting to forced labour, and to do so independently of obligations incumbent on the Detaining Power that would make it possible to achieve those benefits in part. One simply needs to give prisoners the freedom to undertake such work if they wish to benefit from the physical, psychological or material advantages it confers. Officers and persons of equivalent status are not obliged to work, but there is no indication that this degrades their conditions of detention, even though they experience the same deprivation of liberty as other PoWs. This is also illustrated by the labour regime for civilian internees in international armed conflicts, which does not require them to work,Footnote 76 even though their deprivation of liberty might be similar to that of PoWs.
Lastly, those protection objectives regarding PoWs which could be pursued via forced labour are sometimes entirely negated. That is the case if PoWs refuse to work; this renders those prisoners liable to disciplinary action for failing to obey the orders of the detaining State,Footnote 77 and they run the risk of disciplinary sanctionsFootnote 78 that could degrade their conditions of detention.Footnote 79 For instance, PoWs under arrest can be subject to close confinement, which “consists of uninterrupted detention in a room, barrack or cell”.Footnote 80 This may have adverse effects on their mental health. In such cases, the interests of the Detaining Power are clearly taking precedence over those of the prisoners.
Adapting the rules via a systemic approach
There are two possible paths to remedying the shortcomings of the current rules governing PoW forced labour. Both take a systemic approach that examines the relevant IHL rules in light of the general context to which they belong. The first path is based on IHL, while the second is based on IHRL.
International humanitarian law
The general context of the first path is that of IHL itself, and more specifically the elements mentioned above: (i) the other provisions of GC III that show that PoWs’ mental, physical and material well-being can be ensured, at least in part, by means other than forced labour; (ii) the basic principle underlying the prohibition of certain types of forced labour, which is to prevent PoWs contributing directly to the military action of the Detaining Power: (iii) the general spirit of the regime protecting PoWs, which dictates that their detention cannot be perceived as punishment and must not include any penalty for their simply having taken a legal part in hostilities; and (iv) the regime governing work by civilian internees who, while also suffering deprivation of liberty for reasons of security, undertake work only if they so wish.
These elements are central to the IHL system, and the rule in GC III authorizing forced labour can be interpreted in light of them. This being so, the work authorized by the Convention should be seen as work that the Detaining Power can make available to PoWs, who should be free to carry it out in order to serve their own interests; however, PoWs can always accept work that is in principle prohibited. In either case, it is necessary to verify that the PoW's expression of will is genuine, on the basis of criteria and circumstances stemming from case law in particular.Footnote 81
This solution should also reflect an equally essential IHL feature: the general balance on which IHL is based, between the principle of humanity, which demands that people be protected from the horrors of war, and that of military necessity, which ensures that belligerents can conduct hostilities without hindrance. In view of this second element, it would appear reasonable to require PoWs to carry out work connected with camp administration, installation or maintenance. Performing this type of work is not problematic for two reasons. Firstly, it is carried out in the PoW's interests, and it “contributes to good living conditions and order in the camp”.Footnote 82 Secondly, it is not incompatible with IHRL, which does not consider the obligation to carry out maintenance work as prohibited forced labour. In addition, this IHRL obligation applies not only to those who have been convicted, but also to remand detainees.Footnote 83
International human rights law
The other approach to enhancing the rules governing forced labour by PoWs is to examine those rules in the light of international law as a whole. International law includes areas other than IHL that can help us understand and interpret this body of law, with IHRL being of particular relevance. Refocusing the detention of PoWs on their interests and rights, and thus making the forced labour regime more flexible, is in line with IHRL developments regarding detention that have taken place over the years. While enshrining the principle of prohibiting forced or compulsory labour, most IHRL instruments provide for exceptions, such as the work normally required of a person detained following a criminal conviction. This is particularly the case for the 1930 Convention concerning Forced or Compulsory Labour (Forced Labour Convention),Footnote 84 the International Covenant on Civil and Political Rights (ICCPR),Footnote 85 the European Convention on Human Rights (ECHR)Footnote 86 and the American Convention on Human Rights (ACHR),Footnote 87 all of which authorize forced labour by detained criminals. Human rights case law follows the same logic.Footnote 88
However, a current trend, known as the “normalization of conditions of detention”, has been under way for several years, meaning, according to the European Prison Rules, that “[l]ife in prison shall approximate as closely as possible the positive aspects of life in the community”.Footnote 89 Compulsory prison labour is contrary to such an ambition, which has been incorporated into national legislation in a number of ways. A series of States have removed compulsory labour in prison from their domestic legislation; these include Belgium, which required most detainees to work until 2007.Footnote 90 Current Belgian legislation requires prison governors to ensure that “the work available in prisons is allocated to those inmates who request it”.Footnote 91 This change was motivated by the idea that compulsory work is not consistent with the principle of respect for prisoners, and that “the punitive nature of the custodial sentence consists solely in the total or partial loss of freedom of movement”.Footnote 92 There have also been significant changes at the global level as regards the Standard Minimum Rules for the Treatment of Prisoners. The 1977 version stipulated that “[a]ll prisoners under sentence shall be required to work, subject to their physical and mental fitness”;Footnote 93 this rule was no longer present in the 2015 version, which requires States to offer work in order to ensure the reintegration of prisoners into society upon release.Footnote 94 Finally, while it has not (yet) explicitly affirmed that persons detained under criminal law are free to decide whether or not to work, the European Court of Human Rights (ECtHR) has emphasized that a State may not take measures that would degrade a prisoner's conditions of detention on the grounds that they have refused to work.Footnote 95 In other words, no penalty which would have that effect may be imposed.
It is therefore necessary to examine the mechanisms that would make it possible to incorporate these IHRL developments, and the current trend towards “the normalization of the conditions of detention” that underpins them, into the rules related to armed conflict. Both scholarshipFootnote 96 and case law or authoritative interpretationsFootnote 97 indicate that IHRL can usefully supplement IHL. Currently, that complementarity is ensured primarily by two processes.Footnote 98 The first is the interpretation of IHL through IHRL (the “interpretation process”). This process is clearly noticeable in practice. Certain courts, such as the ad hoc international criminal tribunalsFootnote 99 and the International Criminal Court (ICC),Footnote 100 have referred to IHRL concepts or norms to clarify the meaning of certain IHL terms. It is not necessary for the norm used as the interpretative standard to be applicable to the situation regulated by the IHL rule that is to be interpreted. Practice includes cases where the definition of a concept, such as hostage-taking, is used to interpret a similar concept found in IHL relating to international armed conflict, even though the definition appears in a convention that does not apply to this type of conflict.Footnote 101
Treaty IHL is generally clear regarding PoW forced labour and leaves little room for interpretation. By contrast, customary law imposes broader prohibitions, forbidding forced labour if it is not remunerated or is “abusive”. Whether work is abusive or not can be assessed in a number of ways, including by taking into consideration developments in IHRL governing work by detainees. Those rules could thus be seen as the common international law through which the “abusive” nature of work in detention should be determined, both in peacetime and during armed conflict. Such a result can be achieved through two main ways, depending upon the view adopted on the controversial issue of how the content of a customary norm may be determined. According to certain scholars,Footnote 102 who rely on international case law to support their claim,Footnote 103 a customary norm may be interpreted through a deductive process, whereby the content of that norm is determined based on the operation of interpretation rules similar to those applicable to treaties, rather than on State practice and opinio juris. Accordingly, the principle of systemic integration, as enshrined in Article 31(3)(c) of the Vienna Convention on the Law of Treaties, could be relied upon to take into account recent IHRL developments regulating work by detainees as “any relevant rules of international law applicable in the relations between the parties”, in order to interpret the customary prohibition of “abusive” forced labour. Certainly, the principle of systemic integration does require that the States bound by the rules used as the standard for interpretation – IHRL in this instance – include at least those States bound by the rules to be interpreted, in this case customary IHL.Footnote 104 All States are bound by customary law, but this condition could also be seen as being fulfilled in view of the particularly broad ratification of the relevant human rights instruments. According to other scholarsFootnote 105 and the International Law Commission (ILC),Footnote 106 the content of a customary norm can only be determined through an inductive process, based on State practice and opinio juris, rather than on any interpretation rules. Yet, IHRL instruments and related national legislation might arguably be considered as relevant State practice in relation to forced labour in detention, which is widespread enough given the wide ratification of such instruments.Footnote 107 In any case, it is worth observing that the ICRC relies on IHRL as a means for determining the content of both treaty-basedFootnote 108 and customary IHL rules.Footnote 109 In the latter case, IHRL is used for the interpretation as well as the identification of a customary norm.Footnote 110 In sum, customary law is particularly capable of evolving in line with new concerns,Footnote 111 such as making the protection of detainees dependent on their interests and rights, and may therefore be affected by developments in IHRL on detention.
The second process whereby IHRL can complement IHL is through the application of IHRL to armed conflicts in parallel with IHL (the “application process”). It is no longer disputed that IHRL remains applicable during armed conflict,Footnote 112 but its applicability depends on the specific scope of application of that branch of law. In other words, in the application process, as opposed to the interpretation process, the impact of IHRL on the regulation of armed conflict depends on the extent of its applicability. The relevant IHRL rules will therefore be applicable in parallel with IHL only if (i) they have not been subject to any valid derogation;Footnote 113 (ii) the person concerned is on the territory of the entity responsible for ensuring compliance or under its personal or territorial control if that person is abroad;Footnote 114 and (iii) this entity is a State and not a non-State entity such as an armed group.Footnote 115 Certainly, it is possible for States to derogate from the rules of IHRL regarding forced or compulsory labour in time of war, but derogations from IHRL in cases of international armed conflict have been limited.Footnote 116 Moreover, it seems that the other conditions would necessarily be met in the case of PoW labour: the work of PoWs presupposes that, on the one hand, they are under the control of a State that is required to respect human rights, even if they are abroad, and that, on the other hand, this work is not imposed by armed groups since it only concerns combatants captured by States in the context of an international armed conflict.
That being said, IHRL regulates forced labour during armed conflict in a particular manner. Most human rights instruments exclude work required during armed conflict from the concept of forced and compulsory labour. This exclusion appears explicitly in the 1930 Forced Labour ConventionFootnote 117 and can be deduced implicitly in the International Covenant on Civil and Political Rights,Footnote 118 the European Convention on Human RightsFootnote 119 and the American Convention on Human Rights,Footnote 120 which excludes “service exacted in time of danger or calamity that threatens the existence or the well-being of the community”. Such exclusions mean that these human rights instruments are not intended to apply to PoW forced labour;Footnote 121 in other words, their rules are without prejudice to the IHL ones. However, IHL includes not only GC III but also customary law, which, as explained above, can be interpreted in light of developments in IHRL regarding detention.
The IHL rules concerning PoW forced labour should hence be brought into line with the development of human rights in the field of detention, which means that the Detaining Power may not impose work on PoWs but should provide them with work if possible and if they so request. This solution must, however, be adjusted in light of practice, which shows that the incorporation of IHRL into another branch of international law, in particular IHL, may require certain adaptations of the incorporated regime in order to take account of the specific features of that law.Footnote 122 It should therefore take account of the fact that IHL combines the objective of protecting people, which it shares with IHRL, with the need for belligerents not to be hindered in the conduct of hostilities, which distinguishes it fundamentally from IHRL. This last point means that PoWs may be required to perform certain tasks that should not be a burden on the Detaining Power, in particular the administration, development or maintenance of camps.Footnote 123
Conclusion
Today's rules concerning PoW forced labour go back a long way, dating mainly from 1949, when GC III was adopted. Since then, new concerns have emerged, particularly under the impetus of IHRL on detention, according to which detention must be centred on the interests and rights of detainees. These considerations prompt us to seek ways of developing these rules, either through IHL itself or by resorting to the complementary relationship between IHRL and IHL.
Such developments could achieve increased flexibility regarding PoW forced labour. Firstly, they would confer on PoWs a right to work, meaning the right to work, to not workFootnote 124 or to stop working. The detaining State could offer the prisoners work, and, if it did not, the prisoners could request it. In such cases, “[t]he Detaining Power should try to accommodate such requests as far as practicable”.Footnote 125 This right to work should not therefore be interpreted as an obligation on the detaining State to supply work to any PoW who requests it; prisoners would only have a “right to the available work”.Footnote 126 If there were a high demand for work, it would be allocated in accordance with the terms of GC III, which require the Detaining Power to take account of a prisoner's age, sex, rank and physical aptitude.Footnote 127 This is important, because under such a legal regime, all prisoners – and not only officers and persons of equivalent status – would have freedom of work, so the Detaining Power would have to take account of the special status of officersFootnote 128 in assigning the tasks to be performed. The legal regime would hence be uniform only as regards freedom of work; indeed, under the current regime, PoWs, whose rank is lower than that of non-commissioned officers, have no right to work except when the work to be done is dangerous, unhealthy or prohibited. The suggested uniform regime would extend their freedom to work to the performance of work carried out in the interest of the Detaining Power, which is only recognized for officers and non-commissioned officers.
Furthermore, PoWs could still be required to undertake work connected with camp administration, installation or maintenance. While this obligation does mean that the Detaining Power is not burdened with those tasks, carrying them out is also particularly beneficial for the PoWs themselves.Footnote 129 Such a regime would have the advantage of taking into account current developments regarding detention, while remaining compatible with the realities of war. It would also reduce the risk of PoWs being instrumentalized in the service of the Detaining Power's war effort and would generally improve the protection of PoWs.