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Transaction Code: TJ07
Description: Interest/Price Adjustment Schedule
Release: S/4HANA and ECC 6
Menu Path:
Program: TRIA_ADJUSTMENT_LISTING
Screen: 1000
Authorization Object: F_T_TRANSB
Development Package: FTA
Package Description: R/3 appl. development for Treasury money,forex,forward gen
Parent Package: FS_TRM
Module/Component: FIN-FSCM-TRM-TM
Description: Transaction Manager
Overview: TJ07 is a SAP transaction code used to create an interest/price adjustment schedule. This schedule is used to adjust the interest rate or price of a loan or other financial instrument. The schedule can be used to adjust the rate of interest or price of a loan or other financial instrument over time. Functionality: The TJ07 transaction code allows users to create an interest/price adjustment schedule. This schedule can be used to adjust the rate of interest or price of a loan or other financial instrument over time. The schedule can also be used to calculate the amount of interest or price that will be paid at each adjustment date. Step-by-step How to Use: 1. Enter the TJ07 transaction code in the command field. 2. Enter the details of the loan or other financial instrument, such as the start date, end date, and initial rate of interest or price. 3. Enter the details of the adjustment dates and rates of interest or prices for each adjustment date. 4. Enter any additional information, such as fees and penalties associated with the loan or other financial instrument. 5. Save the schedule and generate a report for review. Other Recommendations: It is important to review all details entered into the TJ07 transaction code before saving and generating a report. It is also important to ensure that all details are accurate and up-to-date before using the schedule for any financial transactions.