Why might you define options to have manually allocated item keys for the financial statement version?

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Why might you define options to have manually allocated item keys for the financial statement version?

 A. To be able to assign the same key to two multiple objects

 B. To be able to enter an explanatory text for the item key

 C. To be able to define if you want to summarize at the item level

 D. To be able to assign functional areas to the items

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