The transaction should be listed on the statement that you receive from your financial institution. The final statement, available through the Automated Broker Interface (ABI) on the first business day after the statement is paid, lists all paid entry summaries and serves as payment confirmation for statement payers. For example: Payment date is 5-4-00 broker will receive final statement on 5-5-00 if all information is correct. If an error has occurred on the addendum record and CBP will have to manually apply your payment the broker will receive the final one business day after payment has been applied. For example: Payment date is 5-4-00 an error was on addendum record CBP manually applied payment on 5-5-00 broker will receive final statement on 5-8-00.