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Gap Analysis and Simulation 
You use gap analysis to obtain an overview of the cash flows and capital positions resulting from your company’s investments.
Using the simulation, you can create a long-term forecast of your company’s financial development based on your individual forecasts.
As with the NPV risk analysis methods, some of the functions in Asset/Liability Management are available to industry customers in the Industry Business Solution, SAP Banking. See also the Asset/Liability Management documentation:
Asset/Liability
Management for Banks

Note that the individual simulation function is approved for only banks due to their specific business requirements.
