insert into bankbill_getinfo(trade_date, quartz_id, quartz_name, is_ok, modify_time, bill_table_name,
thirdConfigId)
values (#{trade_date}, #{quartz_id}, #{quartz_name}, #{is_ok}, #{modify_time}, #{bill_table_name},
#{thirdConfigId})
ON DUPLICATE KEY UPDATE quartz_id=values(quartz_id),
quartz_name=values(quartz_name),
is_ok=values(is_ok),
modify_time=values(modify_time),
thirdConfigId=values(thirdConfigId)