Nav 2009 Adjust Exchange Rates in Consolidation Company

Hi Forum, I have a user who when he runs the adjust exchange rates in the consolidation company, nothing happens. They have recently been upgraded from version 4.3 to 2009 R2. They have a UK company and a EURO company which get consolidated into a UK company and before the upgrade he was able to run the adjust exchange rates in the consolidated company to ensure the Euro’s were at the correct exchange rate but now nothing happens. I found a couple of fixes on partnersource for Report 595 but they didnt resolve the issue. Has anyone else experienced this? Thanks Paul