Hi Grigoriy,
Thanks a lot for your information.
I have maintained Default Risk Rule configuration and assigned in securities transaction already in place. The problem i am facing is not able to find from where it is trying to picking " base date for calculating the market value change period "?
For my client we required only limit management to control Bond Issue. In Default Risk Rule config step even i tried setting To be ignored value in Calc. Base MVCP and CalcBase RCP but still i am getting error message.
Single Transaction check log : Transaction -KLSDC4