When configuring the day settlement parameters for managed sites such as MS-OO-CM and MS-CO-OM-TS, it's crucial to allocate store options based on the specific needs of each site. These parameters are useful for gathering necessary information during settlements. For Example, MS-OO-CM may require certain parameters distinct from those needed by MS-CO-OM-TS. However, without proper allocation, parameters intended for MS-CO-OM-TS might apply to MS-OO-CM as well. This can lead to issues where MS-OO-CM must provide data for parameters set as mandatory for MS-CO-OM-TS, this will create problems in the settlement process. On the other side, irrelevant data may appear in the store settlement register with parameter reports.
Ensuring correct allocation of day settlement parameters is essential to maintaining accurate and relevant data for each managed site, preventing errors in the settlement process and ensuring clarity in reporting.