insert into xk_out_main (
total_money,
take_person,
handle_person,
apply_no,
patient_name,
beinhos_id,
dept_id,
check_no,
bill_sort,
notify_time,
is_free_account,
input_person,
input_date,
check_sign,
check_person,
check_date,
audit_person,
remark,
exp1,
exp2,
last_modified,
all_recycle_sign,
receive_person,
receive_id,
bill_no, hos_id,occur_date
)values (
#{total_money},
#{take_person},
#{handle_person},
#{apply_no},
#{patient_name},
#{beinhos_id},
#{dept_id},
#{check_no},
#{bill_sort},
#{notify_time},
#{is_free_account},
#{input_person},
#{input_date},
#{check_sign},
#{check_person},
#{check_date},
#{audit_person},
#{remark},
#{exp1},
#{exp2},
#{last_modified},
#{all_recycle_sign},
#{receive_person},
#{receive_id},
#{bill_no}, #{hos_id}, #{occur_date}
)
update xk_out_main set
total_money = #{total_money},
take_person = #{take_person},
handle_person = #{handle_person},
apply_no = #{apply_no},
match_no = #{match_no},
patient_name = #{patient_name},
beinhos_id = #{beinhos_id},
dept_id = #{dept_id},
check_no = #{check_no},
bill_sort = #{bill_sort},
notify_time = #{notify_time},
is_free_account = #{is_free_account},
input_person = #{input_person},
input_date = #{input_date},
check_sign = #{check_sign},
check_person = #{check_person},
check_date = #{check_date},
audit_person = #{audit_person},
remark = #{remark},
exp1 = #{exp1},
exp2 = #{exp2},
last_modified = #{last_modified},
all_recycle_sign = #{all_recycle_sign},
receive_person = #{receive_person},
receive_id = #{receive_id},
bill_no = #{bill_no}
where bill_no = #{bill_no}