insert into reconciliation_info(trade_date, modify_time, create_time, manager_num,
status, user_name, quartz_id, quartz_name)
values (#{trade_date}, #{modify_time}, #{create_time}, #{manager_num},
#{status}, #{user_name}, #{quartz_id}, #{quartz_name})
ON DUPLICATE KEY UPDATE modify_time=values(modify_time),
user_name=values(user_name),
status=values(status),
manager_num=values(manager_num)