insert into wx_bill_detail ( "id" , "bill_date", "pid", "appid" , "mch_id" , "sub_mchid" , "device_info", "transaction_id", "out_trade_no", "openid", "bill_type", "bill_status", "bank_type", "fee_type" , "settlement_total_fee", "coupon_fee", "refund_id" , "out_refund_no" , "refund_fee", "coupon_refund_fee" , "refund_type", "refund_apply_date" , "refund_success_date" , "refund_success_status" , "body", "attach" , "cmms_amt", "rate", "total_fee", "apply_refund_fee" , "rate_remark" ) values (#{item.id}, #{item.billDate}, #{item.pid}, #{item.appid}, #{item.mchId}, #{item.subMchid}, #{item.deviceInfo}, #{item.transactionId}, #{item.outTradeNo}, #{item.openid}, #{item.billType}, #{item.billStatus}, #{item.bankType}, #{item.feeType}, #{item.settlementTotalFee}, #{item.couponFee}, #{item.refundId}, #{item.outRefundNo}, #{item.refundFee}, #{item.couponRefundFee}, #{item.refundType}, #{item.refundApplyDate}, #{item.refundSuccessDate}, #{item.refundSuccessStatus}, #{item.body}, #{item.attach}, #{item.cmmsAmt}, #{item.rate}, #{item.totalFee}, #{item.applyRefundFee}, #{item.rateRemark} )