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}