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Revaluation is not calculating for all expected accounts

We have been running revaluation for a number of years now and all the accounts that have a foreign currency balance under the parent account defined in the revaluation setup get revalued as expected. We recently add a few new accounts to the parent value but when revaluation runs, it does not revalue these new accounts. We did a manual calculation for these accounts and according to the balance, they should have been included in the revaluation journal that was created. What could be the possible cause for the behavior? Screen shot of the setup has been included.

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