Naming of Security Options

bill6656
Quicken Windows Subscription Member
When I sell a Put option it enters the transaction as ShtSell for security XXX Mar 31 2023 222.5 Put (Weekly), but when I buy the Put option back it enters it as CvrShrt for security XXX Mar 31 2023 222.5 Put. The (Weekly) tag on the sale causes Quicken to think it is two different securities, is there a way to fix this with a renaming rule? If not, what is the best way to correct the security names?
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