rcs-sys/loan-parent/db/度小满/002-rec_dml_rec_loan_yyyymmdd.sql

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2025-03-07 16:23:56 +08:00
INSERT INTO `rec_loan`.`biz_tran_config`(`id`, `tran_code`, `tran_name`, `tran_sts`, `tran_lock`, `rec_save_flag`, `retry_times`, `retry_space`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`, `json_res`, `validate_res`, `business_open_date`, `business_close_date`, `retry`) VALUES (600712664942903296, 'TRAN000112', '度小满用信决策请求', '1', '1', '1', NULL, NULL, '007', '007001', '007', '2020-08-02', '2022-03-12 15:37:40', '007001', '007', '2020-08-02', '2022-03-12 18:01:22', 2, '{\"lines\":[{\"target\":\"1647078824226\",\"source\":\"1647078821473\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647078839850\",\"source\":\"1647078824226\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647078841610\",\"source\":\"1647078839850\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647078851170\",\"source\":\"1647078841610\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647078855281\",\"source\":\"1647078851170\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647078857681\",\"source\":\"1647078855281\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647078859802\",\"source\":\"1647078857681\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647078861906\",\"source\":\"1647078859802\",\"text\":\"\",\"condition\":\"\"}],\"nodes\":[{\"id\":1647078821473,\"nodeName\":\"开始\",\"left\":\"29px\",\"top\":\"174px\",\"type\":\"start\",\"code\":\"\"},{\"id\":1647078824226,\"nodeName\":\"初始化度小满用信决策请求\",\"left\":\"201px\",\"top\":\"172px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"dxmUseCreditAppInitService\"},{\"id\":1647078839850,\"nodeName\":\"用信入参检查\",\"left\":\"384px\",\"top\":\"173px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"useCreditInputCheckService\"},{\"id\":1647078841610,\"nodeName\":\"用信申请信息保存\",\"left\":\"543px\",\"top\":\"173px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"useCreditAppSaveService\"},{\"id\":1647078851170,\"nodeName\":\"用信申请产品校验\",\"left\":\"721px\",\"top\":\"173px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"useCreditAppCheckService\"},{\"id\":1647078855281,\"nodeName\":\"用信额度校验\",\"left\":\"733px\",\"top\":\"278px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"useCreditLinesCheckService\"},{\"id\":1647078857681,\"nodeName\":\"支用申请参数校验\",\"left\":\"515px\",\"top\":\"278px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"disburseAppCheckService\"},{\"id\":1647078859802,\"nodeName\":\"发起流程\",\"left\":\"331px\",\"top\":\"278px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"publishFlowService\"},{\"id\":1647078861906,\"nodeName\":\"结束节点\",\"left\":\"149px\",\"top\":\"278px\",\"type\":\"end\",\"code\":\"\"}]}', NULL, NULL, NULL, NULL);
INSERT INTO `rec_loan`.`biz_tran_config`(`id`, `tran_code`, `tran_name`, `tran_sts`, `tran_lock`, `rec_save_flag`, `retry_times`, `retry_space`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`, `json_res`, `validate_res`, `business_open_date`, `business_close_date`, `retry`) VALUES (600712774561038336, 'TRAN000113', '度小满用信结果查询', '1', '1', '1', NULL, NULL, '007', '007001', '007', '2020-08-02', '2022-03-12 15:38:06', '007001', '007', '2020-08-02', '2022-03-12 18:02:28', 2, '{\"lines\":[{\"target\":\"1647079295956\",\"source\":\"1647079294045\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647079297421\",\"source\":\"1647079295956\",\"text\":\"\",\"condition\":\"\"}],\"nodes\":[{\"id\":1647079294045,\"nodeName\":\"开始\",\"left\":\"82px\",\"top\":\"217px\",\"type\":\"start\",\"code\":\"\"},{\"id\":1647079295956,\"nodeName\":\"度小满用信结果查询\",\"left\":\"296px\",\"top\":\"215px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"dxmUseCreditResultQueryService\"},{\"id\":1647079297421,\"nodeName\":\"结束节点\",\"left\":\"597px\",\"top\":\"217px\",\"type\":\"end\",\"code\":\"\"}]}', NULL, NULL, NULL, NULL);
INSERT INTO `rec_loan`.`biz_tran_config`(`id`, `tran_code`, `tran_name`, `tran_sts`, `tran_lock`, `rec_save_flag`, `retry_times`, `retry_space`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`, `json_res`, `validate_res`, `business_open_date`, `business_close_date`, `retry`) VALUES (600712850326945792, 'TRAN000114', '度小满合同签署', '1', '1', '1', NULL, NULL, '007', '007001', '007', '2020-08-02', '2022-03-12 15:38:24', '007001', '007', '2020-08-02', '2022-03-12 18:03:33', 2, '{\"lines\":[{\"target\":\"1647079375237\",\"source\":\"1647079371046\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647079373286\",\"source\":\"1647079375237\",\"text\":\"\",\"condition\":\"\"}],\"nodes\":[{\"id\":1647079371046,\"nodeName\":\"开始\",\"left\":\"69px\",\"top\":\"196px\",\"type\":\"start\",\"code\":\"\"},{\"id\":1647079373286,\"nodeName\":\"结束节点\",\"left\":\"569px\",\"top\":\"196px\",\"type\":\"end\",\"code\":\"\"},{\"id\":1647079375237,\"nodeName\":\"度小满借款合同签订\",\"left\":\"308px\",\"top\":\"196px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"dxmContSignService\"}]}', NULL, NULL, NULL, NULL);
INSERT INTO `rec_loan`.`biz_tran_config`(`id`, `tran_code`, `tran_name`, `tran_sts`, `tran_lock`, `rec_save_flag`, `retry_times`, `retry_space`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`, `json_res`, `validate_res`, `business_open_date`, `business_close_date`, `retry`) VALUES (600712917129625600, 'TRAN000115', '度小满查询合同结果', '1', '1', '1', NULL, NULL, '007', '007001', '007', '2020-08-02', '2022-03-12 15:38:40', '007001', '007', '2020-08-02', '2022-03-12 18:04:14', 2, '{\"lines\":[{\"target\":\"1647079428902\",\"source\":\"1647079426118\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647079427414\",\"source\":\"1647079428902\",\"text\":\"\",\"condition\":\"\"}],\"nodes\":[{\"id\":1647079426118,\"nodeName\":\"开始\",\"left\":\"90px\",\"top\":\"216px\",\"type\":\"start\",\"code\":\"\"},{\"id\":1647079427414,\"nodeName\":\"结束节点\",\"left\":\"603px\",\"top\":\"216px\",\"type\":\"end\",\"code\":\"\"},{\"id\":1647079428902,\"nodeName\":\"度小满借款合同签订结果查询\",\"left\":\"316px\",\"top\":\"216px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"dxmContSignResultQueryService\"}]}', NULL, NULL, NULL, NULL);
INSERT INTO `rec_loan`.`biz_tran_config`(`id`, `tran_code`, `tran_name`, `tran_sts`, `tran_lock`, `rec_save_flag`, `retry_times`, `retry_space`, `wait_end`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`, `json_res`, `validate_res`, `business_open_date`, `business_close_date`, `retry`) VALUES (601786897747935232, 'ONLINE000003', '度小满用信处理', '1', '1', '1', NULL, NULL, '1', '007', '007001', '007', '2022-01-02', '2022-03-15 14:46:17', '007001', '007', '2040-07-27', '2022-04-01 22:13:03', 6, '{\"lines\":[{\"target\":\"1647327123452\",\"source\":\"1647327114844\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647327115953\",\"source\":\"1648818167397\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1648818167397\",\"source\":\"1647327123452\",\"text\":\"\",\"condition\":\"\"}],\"nodes\":[{\"id\":1647327114844,\"nodeName\":\"开始\",\"left\":\"77px\",\"top\":\"140px\",\"type\":\"start\",\"code\":\"\"},{\"id\":1647327115953,\"nodeName\":\"结束节点\",\"left\":\"715px\",\"top\":\"140px\",\"type\":\"end\",\"code\":\"\"},{\"id\":1647327123452,\"nodeName\":\"度小满用信申请反欺诈\",\"left\":\"263px\",\"top\":\"139px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"dxmUseCreditAntiFraudService\"},{\"id\":1648818167397,\"nodeName\":\"度小满用信利率处理\",\"left\":\"485px\",\"top\":\"139px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"dxmUseCreditRateTermServiceImpl\"}]}', NULL, NULL, NULL, NULL);
INSERT INTO `rec_loan`.`biz_tran_config`(`id`, `tran_code`, `tran_name`, `tran_sts`, `tran_lock`, `rec_save_flag`, `retry_times`, `retry_space`, `wait_end`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`, `json_res`, `validate_res`, `business_open_date`, `business_close_date`, `retry`) VALUES (609813082360774656, 'TRAN000118', '度小满额度恢复通知', '1', '1', '1', 3, 5, '1', '007', '007001', '007', '2040-08-11', '2022-04-06 18:19:29', '007001', '007', '2040-08-11', '2022-04-06 18:20:11', 2, '{\"lines\":[{\"target\":\"1649241018752\",\"source\":\"1649241016457\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1649241021913\",\"source\":\"1649241018752\",\"text\":\"\",\"condition\":\"\"}],\"nodes\":[{\"id\":1649241016457,\"nodeName\":\"开始\",\"left\":\"76px\",\"top\":\"129px\",\"type\":\"start\",\"code\":\"\"},{\"id\":1649241018752,\"nodeName\":\"度小满额度恢复通知\",\"left\":\"248px\",\"top\":\"129px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"dxmLmtRecoveryNoticeService\"},{\"id\":1649241021913,\"nodeName\":\"结束节点\",\"left\":\"433px\",\"top\":\"129px\",\"type\":\"end\",\"code\":\"\"}]}', NULL, NULL, NULL, '0');
INSERT INTO `rec_loan`.`biz_tran_config`(`id`, `tran_code`, `tran_name`, `tran_sts`, `tran_lock`, `rec_save_flag`, `retry_times`, `retry_space`, `wait_end`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`, `json_res`, `validate_res`, `business_open_date`, `business_close_date`, `retry`) VALUES (600769981558292480, 'ONLINE000002', '度小满授信处理', '1', '1', '1', 5, 1, '1', '007', '007001', '007', '2020-08-02', '2022-03-12 19:25:25', '007001', '007', '2040-08-11', '2022-04-04 18:01:27', 4, '{\"lines\":[{\"target\":\"1647084359313\",\"source\":\"1647084343738\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647084361295\",\"source\":\"1647084359313\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647084367504\",\"source\":\"1647084364577\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647084369824\",\"source\":\"1647084367504\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647084372504\",\"source\":\"1647084369824\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647084375008\",\"source\":\"1647084372504\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647084380232\",\"source\":\"1647084375008\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647084382768\",\"source\":\"1647084380232\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647084385688\",\"source\":\"1647084382768\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647084364577\",\"source\":\"1648832029907\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1648832029907\",\"source\":\"1647084361295\",\"text\":\"\",\"condition\":\"\"}],\"nodes\":[{\"id\":1647084343738,\"nodeName\":\"开始\",\"left\":\"38px\",\"top\":\"35px\",\"type\":\"start\",\"code\":\"\"},{\"id\":1647084359313,\"nodeName\":\"授信申请影像处理\",\"left\":\"24px\",\"top\":\"150px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"creditAppImageHandleService\"},{\"id\":1647084361295,\"nodeName\":\"OCR识别\",\"left\":\"248px\",\"top\":\"150px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"creditApplyOcrService\"},{\"id\":1647084364577,\"nodeName\":\"授信申请四要素鉴权\",\"left\":\"593px\",\"top\":\"147px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"creditAppCardAuthService\"},{\"id\":1647084367504,\"nodeName\":\"授信申请用户中心开户\",\"left\":\"795px\",\"top\":\"148px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"creditAppAcctOpenService\"},{\"id\":1647084369824,\"nodeName\":\"授信申请反欺诈初审\",\"left\":\"795px\",\"top\":\"264px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"creditAppAntiFirstTrialService\"},{\"id\":1647084372504,\"nodeName\":\"授信征信报告申请\",\"left\":\"605px\",\"top\":\"266px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"creditApplyReportService\"},{\"id\":1647084375008,\"nodeName\":\"授信征信报告查询及保存\",\"left\":\"407px\",\"top\":\"265px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"creditAppInspectionQueryService\"},{\"id\":1647084380232,\"nodeName\":\"授信申请反欺诈复审\",\"left\":\"210px\",\"top\":\"266px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"creditAppAntiFinalTrialService\"},{\"id\":1647084382768,\"nodeName\":\"授信申请保存额度信息\",\"left\":\"19px\",\"top\":\"262px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"creditLmtSaveService\"},{\"id\":1647084385688,\"nodeName\":\"结束节点\",\"left\":\"35px\",\"top\":\"360px\",\"type\":\"end\",\"code\":\"\"},{\"id\":1648832029907,\"nodeName\":\"联网核查\",\"left\":\"415px\",\"top\":\"149px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"dxmCreditApplyInspectService\"}]}', NULL, NULL, NULL, '1');
INSERT INTO `rec_loan`.`biz_tran_config`(`id`, `tran_code`, `tran_name`, `tran_sts`, `tran_lock`, `rec_save_flag`, `retry_times`, `retry_space`, `wait_end`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`, `json_res`, `validate_res`, `business_open_date`, `business_close_date`, `retry`) VALUES (607145376406831104, 'ONLINE000004', '度小满结果回调', '1', '0', '0', 5, 1, '0', '007', '007001', '007', '2040-06-18', '2022-03-30 09:38:58', '007001', '007', '2040-08-11', '2022-04-05 10:01:01', 2, '{\"lines\":[{\"target\":\"1648605070544\",\"source\":\"1648605068239\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1648605072776\",\"source\":\"1648605070544\",\"text\":\"\",\"condition\":\"\"}],\"nodes\":[{\"id\":1648605068239,\"nodeName\":\"开始\",\"left\":\"190px\",\"top\":\"171px\",\"type\":\"start\",\"code\":\"\"},{\"id\":1648605070544,\"nodeName\":\"度小满结果回调\",\"left\":\"402px\",\"top\":\"171px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"dxmResultCallBackService\"},{\"id\":1648605072776,\"nodeName\":\"结束节点\",\"left\":\"615px\",\"top\":\"171px\",\"type\":\"end\",\"code\":\"\"}]}', NULL, NULL, NULL, NULL);
INSERT INTO `rec_loan`.`biz_tran_config`(`id`, `tran_code`, `tran_name`, `tran_sts`, `tran_lock`, `rec_save_flag`, `retry_times`, `retry_space`, `wait_end`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`, `json_res`, `validate_res`, `business_open_date`, `business_close_date`, `retry`) VALUES (600712063760728064, 'TRAN000110', '度小满授信决策请求', '1', '1', '1', 0, 0, '0', '007', '007001', '007', '2020-08-02', '2022-03-12 15:35:17', '007001', '007', '2040-09-10', '2022-04-07 15:08:17', 2, '{\"lines\":[{\"target\":\"1647078500310\",\"source\":\"1647078497221\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647078512237\",\"source\":\"1647078500310\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647078514989\",\"source\":\"1647078512237\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647078530415\",\"source\":\"1647078514989\",\"text\":\"\",\"condition\":\"\"}],\"nodes\":[{\"id\":1647078497221,\"nodeName\":\"开始\",\"left\":\"12px\",\"top\":\"157px\",\"type\":\"start\",\"code\":\"\"},{\"id\":1647078500310,\"nodeName\":\"授信申请数据信息检验及保存\",\"left\":\"188px\",\"top\":\"155px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"creditAppReqMsgSaveService\"},{\"id\":1647078512237,\"nodeName\":\"授信产品参加校验\",\"left\":\"378px\",\"top\":\"157px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"creditProdCheckService\"},{\"id\":1647078514989,\"nodeName\":\"发起流程\",\"left\":\"576px\",\"top\":\"158px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"publishFlowService\"},{\"id\":1647078530415,\"nodeName\":\"结束节点\",\"left\":\"743px\",\"top\":\"157px\",\"type\":\"end\",\"code\":\"\"}]}', NULL, NULL, NULL, NULL);
INSERT INTO `rec_loan`.`biz_tran_config`(`id`, `tran_code`, `tran_name`, `tran_sts`, `tran_lock`, `rec_save_flag`, `retry_times`, `retry_space`, `wait_end`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`, `json_res`, `validate_res`, `business_open_date`, `business_close_date`, `retry`) VALUES (600712367566749696, 'TRAN000111', '度小满授信决策查询', '1', '0', '0', 0, 0, '0', '007', '007001', '007', '2020-08-02', '2022-03-12 15:36:29', '007001', '007', '2040-09-10', '2022-04-07 15:07:29', 2, '{\"lines\":[{\"target\":\"1647490064580\",\"source\":\"1647490061125\",\"text\":\"\",\"condition\":\"\"},{\"target\":\"1647490067012\",\"source\":\"1647490064580\",\"text\":\"\",\"condition\":\"\"}],\"nodes\":[{\"id\":1647490061125,\"nodeName\":\"开始\",\"left\":\"150px\",\"top\":\"129px\",\"type\":\"start\",\"code\":\"\"},{\"id\":1647490064580,\"nodeName\":\"授信申请结果查询\",\"left\":\"352px\",\"top\":\"133px\",\"type\":\"tranConfigScheduleExecutor\",\"code\":\"creditAppResultQueryService\"},{\"id\":1647490067012,\"nodeName\":\"结束节点\",\"left\":\"567px\",\"top\":\"134px\",\"type\":\"end\",\"code\":\"\"}]}', NULL, NULL, NULL, NULL);
-- 合同模板配置
INSERT INTO `rec_loan`.`biz_cont_tmpl_app`(`id`, `tmpl_id`, `change_type`, `tmpl_code`, `tmpl_name`, `prd_code`, `sign_type`, `tmpl_type`, `sign_tmpl_code`, `local_tmpl_path`, `remote_download_url`, `position_type`, `template_params`, `signer_config`, `bank_code`, `inst_no`, `app_sts`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `remark`, `cur_vers`, `tmpl_provider`) VALUES (606560514046164992, '606560514046164993', '00', 'DXMJKHT', '度小满借款合同', 'RXX110001', '0', '02', NULL, '', NULL, '2', NULL, '[{\"signerType\":\"0\",\"signerKey\":\"FIRST\",\"signLevel\":\"1\",\"signId\":\"845\",\"searchKey\":\"贷款人电子签章处\"}]', '007', '11679', '30', '007001', '007', '2022-02-25', '2022-03-28 18:54:56', NULL, NULL, '2022-02-25', '2022-03-28 18:56:15', NULL, 1, 'PARTNERS');
INSERT INTO `rec_loan`.`biz_cont_tmpl`(`id`, `tmpl_code`, `tmpl_name`, `prd_code`, `sign_type`, `tmpl_type`, `sign_tmpl_code`, `local_tmpl_path`, `remote_download_url`, `position_type`, `template_params`, `bank_code`, `app_sts`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `remark`, `cur_vers`, `inst_no`, `tmpl_provider`) VALUES (606560514046164993, 'DXMJKHT', '度小满借款合同', 'RXX110001', '0', '02', NULL, '', NULL, '2', NULL, '007', '30', '007001', '007', '2022-02-25', '2022-03-28 18:56:15', NULL, NULL, '2022-02-25', '2022-03-28 18:56:15', NULL, 1, NULL, 'PARTNERS');
INSERT INTO `rec_loan`.`biz_cont_signer_config`(`id`, `tmpl_id`, `signer_order`, `signer_type`, `signer_name`, `signer_id_type`, `signer_id_no`, `signer_mail`, `position_type`, `chapte_name`, `chapte_json`, `search_key`, `search_extend`, `search_convert_extend`, `sign_level`, `sign_id`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `remark`, `cur_vers`, `signer_key`, `user_id`) VALUES (606560845677203456, '606560514046164993', '0', '0', NULL, NULL, NULL, NULL, '2', NULL, NULL, '借款人电子签名处', NULL, NULL, '1', '845', '007001', '007', '2022-02-25', '2022-03-28 18:54:56', NULL, NULL, NULL, NULL, NULL, 1, 'FIRST', NULL);
INSERT INTO `rec_loan`.`prd_agr_tmpl_ref`(`id`, `prd_code`, `tmpl_code`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (609051007220973568, 'RXX110001', 'DXMJKHT', '007', '007001', '007', '2032-06-29', '2022-04-04 15:51:16', NULL, NULL, NULL, NULL, 1);
-- 账务文件相关字典配置
INSERT INTO `rec_loan`.`sys_select`(`id`, `select_name`, `select_key`, `select_desc`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606556186694647808', '度小满文件字典表配置', 'DXM_FILE_DOWN_CONFIG', '度小满文件字典表配置', '007001', '007', '2022-03-28 18:37:44', '2039-09-20', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606556279250354176', 'DXM_FILE_DOWN_CONFIG', '/upload/rec/xdl/recloan/${yyyyMMdd}/', 1, '文件所在的SFTP路径', '20606556186694647808', '007001', '007', '2022-03-28 18:38:06', '2039-09-20', '007001', '007', '2022-03-28 19:08:26', '2022-02-25', 1);
INSERT INTO `rec_loan`.`sys_select`(`id`, `select_name`, `select_key`, `select_desc`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606801761113473024', '度小满文件校验字典表配置', 'DXM_FILE_CHECK_CONFIG', '度小满文件校验字典表配置', '007001', '007', '2022-03-29 10:53:34', '2022-02-25', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606802016336871424', 'DXM_FILE_CHECK_CONFIG', '/download/:/upload/rec/xdl/recloan/', 1, '文件所在的度小满SFTP路径:文件上传的SFTP路径', '20606801761113473024', '007001', '007', '2022-03-29 10:54:35', '2022-02-25', '007001', '007', '2022-03-29 10:57:16', '2022-02-25', 1);
-- 借款合同相关字典配置
INSERT INTO `rec_loan`.`sys_select`(`id`, `select_name`, `select_key`, `select_desc`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606626246939377664', '度小满借款合同回传配置', 'DXMJKHT_PRD_CONFIG', '度小满借款合同回传配置', '007001', '007', '2022-03-28 23:16:08', '2022-02-25', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606626320704602112', 'RXX110001', '/upload/', 1, '路径', '20606626246939377664', '007001', '007', '2022-03-28 23:16:25', '2022-02-25', '007001', '007', '2022-03-28 23:20:52', '2022-02-25', 1);
-- 影像
INSERT INTO `rec_loan`.`bam_file_group`(`id`, `grp_code`, `grp_name`, `warn_type`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (606561981637328896, 'DXMSXSQYX', '度小满授信申请影像', '1', '007', '007001', '007', '2022-02-25', '2022-03-28 19:00:46', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`bam_file_group`(`id`, `grp_code`, `grp_name`, `warn_type`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (606562352581574656, 'DXMYXSQYX', '度小满用信申请影像', '1', '007', '007001', '007', '2022-02-25', '2022-03-28 19:02:14', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`bam_file_grp_detail`(`id`, `grp_code`, `file_type`, `chk_flag`, `ord_num`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (606561981645717504, 'DXMSXSQYX', 'M00101', '1', 1, NULL, '007', '007001', '007', '2022-02-25', '2022-03-28 19:00:46', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`bam_file_grp_detail`(`id`, `grp_code`, `file_type`, `chk_flag`, `ord_num`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (606561981662494720, 'DXMSXSQYX', 'M00102', '1', 2, NULL, '007', '007001', '007', '2022-02-25', '2022-03-28 19:00:46', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`bam_file_grp_detail`(`id`, `grp_code`, `file_type`, `chk_flag`, `ord_num`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (606561981675077632, 'DXMSXSQYX', 'M00103', '1', 3, NULL, '007', '007001', '007', '2022-02-25', '2022-03-28 19:00:46', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`bam_file_grp_detail`(`id`, `grp_code`, `file_type`, `chk_flag`, `ord_num`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (606561981687660544, 'DXMSXSQYX', 'F00101', '1', 4, NULL, '007', '007001', '007', '2022-02-25', '2022-03-28 19:00:46', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`bam_file_grp_detail`(`id`, `grp_code`, `file_type`, `chk_flag`, `ord_num`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (606562352594157568, 'DXMYXSQYX', 'F00201', '1', 1, NULL, '007', '007001', '007', '2022-02-25', '2022-03-28 19:02:14', NULL, NULL, NULL, NULL, 1);
-- 字典
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606562939482144768', 'DXMSXSQYX', 'ZXCXSQZLGR', 10, '度小满授信申请影像', '20563676991283265536', '007001', '007', '2022-03-28 19:04:34', '2022-02-25', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606563034940309504', 'DXMYXSQYX', 'XLSZL', 11, '度小满用信申请影像', '20563676991283265536', '007001', '007', '2022-03-28 19:04:57', '2022-02-25', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606563924346667008', 'DXMSXSQYX:F00101', 'ZXCXSQZLGR01', 26, '度小满个人征信授权书', '20563678510263042048', '007001', '007', '2022-03-28 19:08:29', '2022-02-25', '007001', '007', '2022-03-28 19:08:50', '2022-02-25', 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606563603562102784', 'DXMSXSQYX:M00101', 'ZXCXSQZLGR05', 23, '度小满借款人身份证正面', '20563678510263042048', '007001', '007', '2022-03-28 19:07:12', '2022-02-25', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606563728904683520', 'DXMSXSQYX:M00102', 'ZXCXSQZLGR05', 25, '度小满借款人身份证反面', '20563678510263042048', '007001', '007', '2022-03-28 19:07:42', '2022-02-25', '007001', '007', '2022-03-28 19:08:40', '2022-02-25', 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606563829513453568', 'DXMSXSQYX:M00103', 'ZXCXSQZLGR04', 24, '度小满借款人人脸识别照', '20563678510263042048', '007001', '007', '2022-03-28 19:08:06', '2022-02-25', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606564133894094848', 'DXMYXSQYX:F00201', 'XLSZL002', 27, '度小满借款合同', '20563678510263042048', '007001', '007', '2022-03-28 19:09:19', '2022-02-25', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20607618876766683136', 'CLEAR', '结清', 11, '结清', '20559401310131060736', '007001', '007', '2022-03-31 17:00:29', '2022-02-25', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20607618585824591872', 'NORMAL', '正常', 9, '正常', '20559401310131060736', '007001', '007', '2022-03-31 16:59:20', '2022-02-25', '007001', '007', '2022-03-31 16:59:56', '2022-02-25', 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20607618801697030144', 'OVD', '逾期', 10, '逾期', '20559401310131060736', '007001', '007', '2022-03-31 17:00:11', '2022-02-25', NULL, NULL, NULL, NULL, 1);
-- 合作方
INSERT INTO `rec_loan`.`biz_coop_config`(`id`, `coop_no`, `coop_name`, `coop_cert_type`, `coop_cert_no`, `coop_config_type`, `lmt_sum_amt`, `lmt_sum_bal`, `lmt_sum_crdt`, `crdt_num`, `pay_num`, `begin_date`, `end_date`, `inst_no`, `sts`, `cust_mgr`, `cust_org`, `explain`, `industry`, `industry_route`, `business_scope`, `business_date`, `business_scale`, `bank_name`, `daily_lmt`, `app_sts`, `remark`, `bank_code`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES (596707058078711808, '602431367094996992', '度小满', '201', '5647644356', '1', NULL, NULL, NULL, NULL, NULL, '2019-01-01', '2099-01-01', NULL, '1', '5007', '10634', NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, NULL, '007', '007001', '007', '2022-03-01 14:20:49', '2020-08-01', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_coop_prd_config`(`id`, `coop_no`, `coop_name`, `prd_code`, `prd_name`, `prd_type`, `account_id`, `prd_account`, `account_type`, `account_num_type`, `prd_lmt`, `category_id`, `category_name`, `prd_begin_date`, `prd_end_date`, `prd_daily_lmt`, `daily_lmt_warn_pct`, `business_variety`, `bank_code`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES (567745039841624065, '602431367094996992', '度小满', 'RXX110001', '消费壹贷度小满引流\r\n', NULL, NULL, NULL, NULL, NULL, NULL, 'C_C_9000001', '统一零售信贷系统贷款分类', NULL, NULL, NULL, NULL, NULL, '007', '4980', '10650', '2021-12-11 16:16:06', '2036-03-11', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_coop_sftp_config`(`id`, `coop_no`, `prd_code`, `file_type`, `ip_address`, `sftp_account`, `sftp_password`, `sftp_port`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (3, '602431367094996992', 'RXX110001', '1', '10.5.65.21', 'loan1053', '/sxapp/sxappopt/app/pk/privateKeyToBaidu', '2222', NULL, '007', '007001', '007001', '2022-03-18', '2022-03-18 17:15:40', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_coop_sftp_config`(`id`, `coop_no`, `prd_code`, `file_type`, `ip_address`, `sftp_account`, `sftp_password`, `sftp_port`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (5, '602431367094996992', 'RXX110001', '2', '10.1.130.15', 'rec', 'Rec_0111', '22', NULL, '007', '007001', '007001', '2022-03-18', '2022-03-18 17:15:40', NULL, NULL, NULL, NULL, 1);
-- 返回码映射
INSERT INTO `rec_loan`.`biz_return_code_map`(`id`, `coop_no`, `origin_return_code`, `return_code`, `return_code_desc`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (31, '602431367094996992', '00000000', '0', '成功', NULL, '007', NULL, NULL, '2022-02-26', '2022-02-26 18:09:40', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_return_code_map`(`id`, `coop_no`, `origin_return_code`, `return_code`, `return_code_desc`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (32, '602431367094996992', 'REC11008', 'E1006', '交易处理中', NULL, '007', NULL, NULL, '2022-02-26', '2022-02-26 18:09:40', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_return_code_map`(`id`, `coop_no`, `origin_return_code`, `return_code`, `return_code_desc`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (33, '602431367094996992', 'REC12099', 'E1001', '重复请求', NULL, '007', NULL, NULL, '2022-02-26', '2022-02-26 18:09:40', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_return_code_map`(`id`, `coop_no`, `origin_return_code`, `return_code`, `return_code_desc`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (35, '602431367094996992', 'REC11001', 'E1000', '请求参数非法', NULL, '007', NULL, NULL, '2022-02-26', '2022-02-26 18:09:40', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_return_code_map`(`id`, `coop_no`, `origin_return_code`, `return_code`, `return_code_desc`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (34, '602431367094996992', 'REC15001', 'F1000', '接口内部处理失败', NULL, '007', NULL, NULL, '2022-02-26', '2022-02-26 18:09:40', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_return_code_map`(`id`, `coop_no`, `origin_return_code`, `return_code`, `return_code_desc`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (36, '602431367094996992', 'REC13008', 'F1000', '接口内部处理失败', NULL, '007', NULL, NULL, '2022-02-26', '2022-02-26 18:09:40', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_return_code_map`(`id`, `coop_no`, `origin_return_code`, `return_code`, `return_code_desc`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (37, '602431367094996992', 'REC11005', 'F1099', '申请记录不存在', NULL, '007', NULL, NULL, '2022-02-26', '2022-02-26 18:09:40', NULL, NULL, NULL, NULL, 1);
-- 修改
UPDATE sys_option set option_txt = 'ZXCXSQZLGR' WHERE id = '20563677719066312704';
UPDATE `rec_loan`.`sys_option` SET `option_txt` = 'ZXCXSQZLGR01' WHERE `id` = '20563679633468293120';
UPDATE `rec_loan`.`sys_option` SET `option_txt` = 'ZXCXSQZLGR01' WHERE `id` = '20577859915561828352';
UPDATE `rec_loan`.`sys_option` SET `option_txt` = 'ZXCXSQZLGR01' WHERE `id` = '20577859968972095488';
UPDATE `rec_loan`.`sys_option` SET `option_txt` = 'ZXCXSQZLGR05' WHERE `id` = '20563679105631911936';
UPDATE `rec_loan`.`sys_option` SET `option_txt` = 'ZXCXSQZLGR05' WHERE `id` = '20563679256396169216';
UPDATE `rec_loan`.`sys_option` SET `option_txt` = 'ZXCXSQZLGR04' WHERE `id` = '20563679369168420864';
UPDATE `rec_loan`.`sys_option` SET `option_txt` = 'ZXCXSQZLGR04' WHERE `id` = '20576780695729340416';
-- 会计分录
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (1, 'RXX110001', 'short_term_loan_principal', '短期贷款当日放款成功金额', '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, 2, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (2, 'RXX110001', 'long_term_loan_principal', '中长期贷款当日放款成功金额', '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, 2, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (3, 'RXX110001', 'withhold_amt', '当日同业户资金划拨金额', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '10400101', '00000101104001010010', '存放南京银行北京分行营业部清算款项-百度联合贷款', '02', NULL, NULL, 'N', NULL, 1, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (4, 'RXX110001', 'refund_amt', '当日同业户收款金额', '10400101', '00000101104001010010', '存放南京银行北京分行营业部清算款项-百度联合贷款', '02', NULL, NULL, 'N', NULL, '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, 1, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (5, 'RXX110001', 'short_term_accrued_int_amt', '正常/逾期90天以内短期贷款计提当日利息', '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 4, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (6, 'RXX110001', 'long_term_accrued_int_amt', '正常/逾期90天以内中长期贷款计提当日利息', '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 4, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (7, 'RXX110001', 'short_term_non_accrued_int_amt', '逾期90天以上短期贷款计提当日利息', '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, 4, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (8, 'RXX110001', 'long_term_non_accrued_int_amt', '逾期90天以上中长期贷款计提当日利息', '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, 4, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (9, 'RXX110001', 'short_term_accrued_ovd_prin_pnlt_amt', '逾期90天以内短期贷款计提当日罚息', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 4, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (10, 'RXX110001', 'long_term_accrued_ovd_prin_pnlt_amt', '逾期90天以内中长期贷计提当日罚息', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 4, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (11, 'RXX110001', 'short_term_non_accrued_ovd_prin_pnlt_amt', '逾期90天以上短期贷款计提当日罚息', '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, 4, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (12, 'RXX110001', 'long_term_non_accrued_ovd_prin_pnlt_amt', '逾期90天以上中长期贷款计提当日罚息', '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, 4, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (13, 'RXX110001', 'short_term_paid_prin_amt', '短期贷款实还正常本金(应计)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 5, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (14, 'RXX110001', 'long_term_paid_prin_amt', '中长期贷款实还正常本金(应计)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 5, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (15, 'RXX110001', 'short_term_paid_non_accrued_prin_amt', '短期贷款实还正常本金(非应计)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 5, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (16, 'RXX110001', 'long_term_paid_non_accrued_prin_amt', '中长期贷款实还正常本金(非应计)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 5, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (17, 'RXX110001', 'short_term_paid_accrued_ovd_prin_amt', '短期贷款实还逾期本金(应计)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 5, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (18, 'RXX110001', 'long_term_paid_accrued_ovd_prin_amt', '中长期贷款实还逾期本金(应计)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 5, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (19, 'RXX110001', 'short_term_paid_non_accrued_ovd_prin_amt', '短期贷款实还逾期本金(非应计)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 5, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (20, 'RXX110001', 'long_term_paid_non_accrued_ovd_prin_amt', '中长期贷款实还逾期本金(非应计)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 5, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (21, 'RXX110001', 'short_term_paid_int_amt', '短期贷款实还正常利息(表内)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (22, 'RXX110001', 'long_term_paid_int_amt', '中长期贷款实还正常利息(表内)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (23, 'RXX110001', 'short_term_paid_out_int_amt', '短期贷款实还正常利息(表外)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (24, 'RXX110001', 'short_term_paid_out_int_amt', '短期贷款实还正常利息(表外)', '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (25, 'RXX110001', 'short_term_paid_out_int_amt', '短期贷款实还正常利息(表外)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (29, 'RXX110001', 'long_term_paid_out_int_amt', '中长期贷款实还正常利息(表外)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (30, 'RXX110001', 'long_term_paid_out_int_amt', '中长期贷款实还正常利息(表外)', '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (31, 'RXX110001', 'long_term_paid_out_int_amt', '中长期贷款实还正常利息(表外)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (32, 'RXX110001', 'short_term_paid_internal_ovd_int_amt', '短期贷款实还逾期利息(表内)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (33, 'RXX110001', 'long_term_paid_internal_ovd_int_amt', '中长期贷款实还逾期利息(表内)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (34, 'RXX110001', 'short_term_paid_out_ovd_int_amt', '短期贷款实还逾期利息(表外)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (35, 'RXX110001', 'short_term_paid_out_ovd_int_amt', '短期贷款实还逾期利息(表外)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (36, 'RXX110001', 'short_term_paid_out_ovd_int_amt', '短期贷款实还逾期利息(表外)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (37, 'RXX110001', 'long_term_paid_out_ovd_int_amt', '中长期贷款实还逾期利息(表外)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (38, 'RXX110001', 'long_term_paid_out_ovd_int_amt', '中长期贷款实还逾期利息(表外)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (39, 'RXX110001', 'long_term_paid_out_ovd_int_amt', '中长期贷款实还逾期利息(表外)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (40, 'RXX110001', 'short_term_paid_internal_ovd_prin_pnlt_amt', '短期贷款实还罚息(表内)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (41, 'RXX110001', 'long_term_paid_internal_ovd_prin_pnlt_amt', '中长期贷款实还罚息(表内)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (42, 'RXX110001', 'short_term_paid_out_ovd_prin_pnlt_amt', '短期贷款实还罚息(表外)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (43, 'RXX110001', 'short_term_paid_out_ovd_prin_pnlt_amt', '短期贷款实还罚息(表外)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (44, 'RXX110001', 'short_term_paid_out_ovd_prin_pnlt_amt', '短期贷款实还罚息(表外)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (45, 'RXX110001', 'long_term_paid_out_ovd_prin_pnlt_amt', '中长期贷款实还罚息(表外)', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (46, 'RXX110001', 'long_term_paid_out_ovd_prin_pnlt_amt', '中长期贷款实还罚息(表外)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (47, 'RXX110001', 'long_term_paid_out_ovd_prin_pnlt_amt', '中长期贷款实还罚息(表外)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 6, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (48, 'RXX110001', 'short_term_repay_violate_amt', '短期贷款实还提前还款违约金', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '60104101', '00000101601041010002', '度小满引流提前还款违约金收入', '02', NULL, NULL, 'N', NULL, 7, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (49, 'RXX110001', 'long_term_repay_violate_amt', '中长期贷款实还提前还款违约金', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '60104101', '00000101601041010002', '度小满引流提前还款违约金收入', '02', NULL, NULL, 'N', NULL, 7, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (50, 'RXX110001', 'short_term_int_to_internal_ovd_int_amt', '短期贷款正常利息(表内)转逾期利息(表内)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'N', NULL, 8, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (51, 'RXX110001', 'long_term_int_to_internal_ovd_int_amt', '中长期贷款正常利息(表内)转逾期利息(表内)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'N', NULL, 8, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (52, 'RXX110001', 'short_term_ovd_internal_to_out_ovd_int_amt', '短期贷款逾期利息(表内)转逾期利息(表外)', '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, 8, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (53, 'RXX110001', 'short_term_ovd_internal_to_out_ovd_int_amt', '短期贷款逾期利息(表内)转逾期利息(表外)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'Y', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'Y', NULL, 8, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (54, 'RXX110001', 'long_term_ovd_internal_to_out_ovd_int_amt', '中长期贷款逾期利息(表内)转逾期利息(表外)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'Y', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'Y', NULL, 8, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (55, 'RXX110001', 'long_term_ovd_internal_to_out_ovd_int_amt', '中长期贷款逾期利息(表内)转逾期利息(表外)', '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, 8, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (56, 'RXX110001', 'short_term_internal_to_out_int_amt', '短期贷款正常利息(表内)转正常利息(表外)', '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'Y', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'Y', NULL, 8, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (57, 'RXX110001', 'short_term_internal_to_out_int_amt', '短期贷款正常利息(表内)转正常利息(表外)', '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, 8, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (58, 'RXX110001', 'long_term_internal_to_out_int_amt', '中长期贷款正常利息(表内)转正常利息(表外)', '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'Y', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'Y', NULL, 8, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (59, 'RXX110001', 'long_term_internal_to_out_int_amt', '中长期贷款正常利息(表内)转正常利息(表外)', '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, 8, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (60, 'RXX110001', 'short_term_ovd_out_to_internal_ovd_int_amt', '短期贷款逾期利息(表外)转逾期利息(表内)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 9, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (61, 'RXX110001', 'short_term_ovd_out_to_internal_ovd_int_amt', '短期贷款逾期利息(表外)转逾期利息(表内)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 9, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (62, 'RXX110001', 'long_term_ovd_out_to_internal_ovd_int_amt', '中长期贷款逾期利息(表外)转逾期利息(表内)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 9, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (63, 'RXX110001', 'long_term_ovd_out_to_internal_ovd_int_amt', '中长期贷款逾期利息(表外)转逾期利息(表内)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 9, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (64, 'RXX110001', 'short_term_out_to_internal_int_amt', '短期贷款正常利息(表外)转正常利息(表内)', '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 9, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (65, 'RXX110001', 'short_term_out_to_internal_int_amt', '短期贷款正常利息(表外)转正常利息(表内)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 9, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (66, 'RXX110001', 'long_term_out_to_internal_int_amt', '中长期贷款正常利息(表外)转正常利息(表内)', '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 9, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (67, 'RXX110001', 'long_term_out_to_internal_int_amt', '中长期贷款正常利息(表外)转正常利息(表内)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 9, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (68, 'RXX110001', 'short_term_out_to_internal_ovd_int_amt', '短期贷款正常利息(表外)转逾期利息(表内)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 9, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (69, 'RXX110001', 'short_term_out_to_internal_ovd_int_amt', '短期贷款正常利息(表外)转逾期利息(表内)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 9, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (70, 'RXX110001', 'long_term_out_to_internal_ovd_int_amt', '中长期贷款正常利息(表外)转逾期利息(表内)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 9, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (71, 'RXX110001', 'long_term_out_to_internal_ovd_int_amt', '中长期贷款正常利息(表外)转逾期利息(表内)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 9, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (72, 'RXX110001', 'short_term_internal_to_out_ovd_prin_pnlt_amt', '短期贷款逾期本金罚息(表内)转逾期本金罚息(表外)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'Y', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'Y', NULL, 10, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (73, 'RXX110001', 'short_term_internal_to_out_ovd_prin_pnlt_amt', '短期贷款逾期本金罚息(表内)转逾期本金罚息(表外)', '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, 10, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (74, 'RXX110001', 'long_term_internal_to_out_ovd_prin_pnlt_amt', '中长期贷款逾期本金罚息(表内)转逾期本金罚息(表外)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'Y', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'Y', NULL, 10, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (75, 'RXX110001', 'long_term_internal_to_out_ovd_prin_pnlt_amt', '中长期贷款逾期本金罚息(表内)转逾期本金罚息(表外)', '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, 10, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (76, 'RXX110001', 'short_term_out_to_internal_ovd_prin_pnlt_amt', '短期贷款逾期本金罚息(表外)转逾本金罚息(表内)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 10, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (77, 'RXX110001', 'short_term_out_to_internal_ovd_prin_pnlt_amt', '短期贷款逾期本金罚息(表外)转逾本金罚息(表内)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 10, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (78, 'RXX110001', 'long_term_out_to_internal_ovd_prin_pnlt_amt', '中长期贷款逾期本金罚息(表外)转逾本金罚息(表内)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 10, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (79, 'RXX110001', 'long_term_out_to_internal_ovd_prin_pnlt_amt', '中长期贷款逾期本金罚息(表外)转逾本金罚息(表内)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 10, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (80, 'RXX110001', 'short_term_paid_prin_reduced_amt_manual', '短期贷款手工减免正常本金(应计)', '18010101', '00000101180101010004', '度小满引流个人贷款减值准备', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (81, 'RXX110001', 'long_term_paid_prin_reduced_amt_manual', '中长期贷款手工减免正常本金(应计)', '18010101', '00000101180101010004', '度小满引流个人贷款减值准备', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (82, 'RXX110001', 'short_term_paid_non_accrued_prin_reduced_amt_manual', '短期贷款手工减免正常本金(非应计)', '18010101', '00000101180101010004', '度小满引流个人贷款减值准备', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (83, 'RXX110001', 'long_term_paid_non_accrued_prin_reduced_amt_manual', '中长期贷款手工减免正常本金(非应计)', '18010101', '00000101180101010004', '度小满引流个人贷款减值准备', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (84, 'RXX110001', 'short_term_paid_accrued_ovd_prin_reduced_amt_manual', '短期贷款手工减免逾期本金(应计)', '18010101', '00000101180101010004', '度小满引流个人贷款减值准备', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (85, 'RXX110001', 'long_term_paid_accrued_ovd_prin_reduced_amt_manual', '中长期贷款手工减免逾期本金(应计)', '18010101', '00000101180101010004', '度小满引流个人贷款减值准备', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (86, 'RXX110001', 'short_term_paid_non_accrued_ovd_prin_reduced_amt_manual', '短期贷款手工减免逾期本金(非应计)', '18010101', '00000101180101010004', '度小满引流个人贷款减值准备', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (87, 'RXX110001', 'long_term_paid_non_accrued_ovd_prin_reduced_amt_manual', '中长期贷款手工减免逾期本金(非应计)', '18010101', '00000101180101010004', '度小满引流个人贷款减值准备', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (88, 'RXX110001', 'short_term_paid_int_reduced_amt_manual', '短期贷款手工减免正常利息(表内)', '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'Y', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'Y', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (89, 'RXX110001', 'long_term_paid_int_reduced_amt_manual', '中长期贷款手工减免正常利息(表内)', '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'Y', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'Y', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (90, 'RXX110001', 'short_term_paid_out_int_reduced_amt_manual', '短期贷款手工减免正常利息(表外)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (91, 'RXX110001', 'long_term_paid_out_int_reduced_amt_manual', '中长期贷款手工减免正常利息(表外)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (92, 'RXX110001', 'short_term_paid_internal_ovd_int_reduced_amt_manual', '短期贷款手工减免逾期利息(表内)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'Y', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'Y', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (93, 'RXX110001', 'long_term_paid_internal_ovd_int_reduced_amt_manual', '中长期贷款手工减免逾期利息(表内)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'Y', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'Y', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (94, 'RXX110001', 'short_term_paid_out_ovd_int_reduced_amt_manual', '短期贷款手工减免逾期利息(表外)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (95, 'RXX110001', 'long_term_paid_out_ovd_int_reduced_amt_manual', '中长期贷款手工减免逾期利息(表外)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (96, 'RXX110001', 'short_term_paid_internal_ovd_prin_pnlt_reduced_amt_manual', '短期贷款手工减免罚息(表内)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'Y', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'Y', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (97, 'RXX110001', 'long_term_paid_internal_ovd_prin_pnlt_reduced_amt_manual', '中长期贷款手工减免罚息(表内)', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'Y', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'Y', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (98, 'RXX110001', 'short_term_paid_out_ovd_prin_pnlt_reduced_amt_manual', '短期贷款手工减免罚息(表外)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (99, 'RXX110001', 'long_term_paid_out_ovd_prin_pnlt_reduced_amt_manual', '中长期贷款手工减免罚息(表外)', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 11, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (100, 'RXX110001', 'short_term_loan_principal_reverse', '短期隔日冲正本金', '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'Y', NULL, '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'Y', NULL, 12, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (101, 'RXX110001', 'long_term_loan_principal_reverse', '中长期隔日冲正本金', '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'Y', NULL, '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'Y', NULL, 12, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (102, 'RXX110001', 'short_term_accrued_int_amt_reverse', '短期隔日冲正计提利息', '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'Y', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'Y', NULL, 12, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (103, 'RXX110001', 'long_term_accrued_int_amt_reverse', '中长期隔日冲正计提利息', '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'Y', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'Y', NULL, 12, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (104, 'RXX110001', 'write_off_non_prin_amt', '正常贷款本金核销金额', '18010101', '00000101180101010004', '度小满引流个人贷款减值准备', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 13, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (105, 'RXX110001', 'write_off_non_prin_amt', '正常贷款本金核销金额', '90110101', '00000101901101010004', '度小满引流已核销贷款本金', '02', NULL, NULL, 'N', NULL, '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, 13, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (106, 'RXX110001', 'write_off_ovd_prin_amt', '逾期贷款本金核销金额', '90110101', '00000101901101010004', '度小满引流已核销贷款本金', '02', NULL, NULL, 'N', NULL, '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, 13, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (107, 'RXX110001', 'write_off_ovd_prin_amt', '逾期贷款本金核销金额', '18010101', '00000101180101010004', '度小满引流个人贷款减值准备', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 13, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (108, 'RXX110001', 'write_off_non_int_amt', '正常贷款利息核销金额', '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'Y', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'Y', NULL, 13, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (109, 'RXX110001', 'write_off_non_int_amt', '正常贷款利息核销金额', '90110110', '00000101901101100004', '度小满引流已核销贷款应收利息', '02', NULL, NULL, 'N', NULL, '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, 13, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (110, 'RXX110001', 'write_off_ovd_int_amt', '逾期贷款利息核销金额', '90110110', '00000101901101100004', '度小满引流已核销贷款应收利息', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 13, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (111, 'RXX110001', 'write_off_ovd_pnlt_amt', '罚息核销金额', '90110110', '00000101901101100004', '度小满引流已核销贷款应收利息', '02', NULL, NULL, 'N', NULL, '90060112', '00000101900601120002', '度小满引流表外应收未收利息', '02', NULL, NULL, 'N', NULL, 13, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (112, 'RXX110001', 'write_off_paid_non_prin_amt', '核销后的正常还款本金金额', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (113, 'RXX110001', 'write_off_paid_non_prin_amt', '核销后的正常还款本金金额', '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, '18010101', '00000101180101010004', '度小满引流个人贷款减值准备', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (114, 'RXX110001', 'write_off_paid_non_prin_amt', '核销后的正常还款本金金额', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90110101', '00000101901101010004', '度小满引流已核销贷款本金', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (115, 'RXX110001', 'write_off_paid_ovd_prin_amt', '核销后的逾期还款本金金额', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (116, 'RXX110001', 'write_off_paid_ovd_prin_amt', '核销后的逾期还款本金金额', '13100113', '00000101131001130003', '度小满引流消费贷款', '02', NULL, NULL, 'N', NULL, '18010101', '00000101180101010004', '度小满引流个人贷款减值准备', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (117, 'RXX110001', 'write_off_paid_ovd_prin_amt', '核销后的逾期还款本金金额', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90110101', '00000101901101010004', '度小满引流已核销贷款本金', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (118, 'RXX110001', 'write_off_paid_non_int_amt', '核销后的正常还款利息金额', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (119, 'RXX110001', 'write_off_paid_non_int_amt', '核销后的正常还款利息金额', '11400108', '00000101114001080003', '度小满引流应计利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (120, 'RXX110001', 'write_off_paid_non_int_amt', '核销后的正常还款利息金额', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90110110', '00000101901101100004', '度小满引流已核销贷款应收利息', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (121, 'RXX110001', 'write_off_paid_ovd_int_amt', '核销后的逾期还款利息金额', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (122, 'RXX110001', 'write_off_paid_ovd_int_amt', '核销后的逾期还款利息金额', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (123, 'RXX110001', 'write_off_paid_ovd_int_amt', '核销后的逾期还款利息金额', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90110110', '00000101901101100004', '度小满引流已核销贷款应收利息', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (124, 'RXX110001', 'write_off_paid_ovd_pnlt_amt', '核销后的还款罚息金额', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (125, 'RXX110001', 'write_off_paid_ovd_pnlt_amt', '核销后的还款罚息金额', '11500107', '00000101115001070003', '度小满引流应收未收利息', '02', NULL, NULL, 'N', NULL, '60010113', '00000101600101130003', '度小满引流利息收入', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (126, 'RXX110001', 'write_off_paid_ovd_pnlt_amt', '核销后的还款罚息金额', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90110110', '00000101901101100004', '度小满引流已核销贷款应收利息', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (127, 'RXX110001', 'write_off_paid_repay_violate_amt', '核销后的还款提前还款违约金金额', '22400102', '00000101223001020015', '度小满引流待划转资金', '02', NULL, NULL, 'N', NULL, '60104101', '00000101601041010002', '度小满引流提前还款违约金收入', '02', NULL, NULL, 'N', NULL, 14, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (128, 'RXX110001', 'write_off_reduced_non_prin_amt', '核销后的正常还款本金手工减免金额', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90110101', '00000101901101010004', '度小满引流已核销贷款本金', '02', NULL, NULL, 'N', NULL, 15, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (129, 'RXX110001', 'write_off_reduced_ovd_prin_amt', '核销后的逾期还款本金手工减免金额', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90110101', '00000101901101010004', '度小满引流已核销贷款本金', '02', NULL, NULL, 'N', NULL, 15, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (130, 'RXX110001', 'write_off_reduced_non_int_amt', '核销后的正常还款利息手工减免金额', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90110110', '00000101901101100004', '度小满引流已核销贷款应收利息', '02', NULL, NULL, 'N', NULL, 15, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (131, 'RXX110001', 'write_off_reduced_ovd_int_amt', '核销后的逾期还款利息手工减免金额', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90110110', '00000101901101100004', '度小满引流已核销贷款应收利息', '02', NULL, NULL, 'N', NULL, 15, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`biz_accounting_config`(`id`, `prd_code`, `accounting_field`, `accounting_desc`, `debit_subject`, `debit_acct_no`, `debit_acct_name`, `debit_acct_type`, `debit_cust_no`, `debit_branch`, `debit_reversl_flg`, `debit_tran_no`, `credit_subject`, `credit_acct_no`, `credit_acct_name`, `credit_acct_type`, `credit_cust_no`, `credit_branch`, `credit_reversl_flg`, `credit_tran_no`, `seq_no`, `remark`, `bank_code`, `create_user`, `create_org`, `create_date`, `create_time`, `update_user`, `update_org`, `update_date`, `update_time`, `cur_vers`) VALUES (132, 'RXX110001', 'write_off_reduced_ovd_pnlt_amt', '核销后的还款罚息手工减免金额', '99990101', '00000101999901010004', '度小满引流配平账号', '02', NULL, NULL, 'N', NULL, '90110110', '00000101901101100004', '度小满引流已核销贷款应收利息', '02', NULL, NULL, 'N', NULL, 15, NULL, '007', NULL, NULL, '2022-03-30', '2022-03-30 22:02:05', NULL, NULL, NULL, NULL, 1);
UPDATE `sys_option` SET `option_txt` = 'ZXCXSQZLGR01' WHERE `id` = '20563679633468293120';
UPDATE `sys_option` SET `option_txt` = 'ZXCXSQZLGR01' WHERE `id` = '20577861129359851520';
UPDATE `sys_option` SET `option_txt` = 'ZXCXSQZLGR01' WHERE `id` = '20577861198976909312';
UPDATE `sys_option` SET `option_txt` = 'ZXCXSQZLGR01' WHERE `id` = '20608251604038057984';
UPDATE `sys_option` SET `option_txt` = 'ZXCXSQZLGR04' WHERE `id` = '20609113920828866560';
UPDATE `sys_option` SET `option_txt` = 'ZXCXSQZLGR05' WHERE `id` = '20563679105631911936';
UPDATE `sys_option` SET `option_txt` = 'ZXCXSQZLGR05' WHERE `id` = '20563679256396169216';
UPDATE `sys_option` SET `option_txt` = 'ZXCXSQZLGR04' WHERE `id` = '20563679369168420864';
UPDATE `sys_option` SET `option_txt` = 'ZXCXSQZLGR04' WHERE `id` = '20576780695729340416';
-- 度小满机构调额调价类型
INSERT INTO `rec_loan`.`sys_select`(`id`, `select_name`, `select_key`, `select_desc`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606900819874291712', '度小满机构调额调价类型', 'DXM_SCENARIO_TYPE_ORG_TYPE', '度小满机构调额调价类型', '007001', '007', '2022-03-29 17:27:11', '2039-07-12', '007001', '007', '2022-03-29 17:44:12', '2039-07-12', 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606900929182048256', '1', '机构调额', 1, '机构调额', '20606900819874291712', '007001', '007', '2022-03-29 17:27:37', '2039-07-12', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606900969157959680', '2', '机构调价', 2, '机构调价', '20606900819874291712', '007001', '007', '2022-03-29 17:27:47', '2039-07-12', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606901035813838848', '4', '止付', 4, '止付', '20606900819874291712', '007001', '007', '2022-03-29 17:28:03', '2039-07-12', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606901067468251136', '5', '解止付', 5, '解止付', '20606900819874291712', '007001', '007', '2022-03-29 17:28:10', '2039-07-12', NULL, NULL, NULL, NULL, 1);
-- 度小满调额调价还款方式
INSERT INTO `rec_loan`.`sys_select`(`id`, `select_name`, `select_key`, `select_desc`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606904983606009856', '度小满调额调价还款方式', 'DXM_REPAY_MODE_CUR_ORG', '度小满调额调价还款方式', '007001', '007', '2022-03-29 17:43:44', '2039-07-12', '007001', '007', '2022-03-29 17:44:41', '2039-07-12', 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606905650013806592', '01', '等额本金', 1, '等额本金', '20606904983606009856', '007001', '007', '2022-03-29 17:46:23', '2039-07-12', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606905704875302912', '02', '等额本息', 2, '等额本息', '20606904983606009856', '007001', '007', '2022-03-29 17:46:36', '2039-07-12', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606905768528060416', '03', '等本等费', 3, '等本等费', '20606904983606009856', '007001', '007', '2022-03-29 17:46:51', '2039-07-12', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606905830993829888', '04', '先息后本', 4, '先息后本', '20606904983606009856', '007001', '007', '2022-03-29 17:47:06', '2039-07-12', NULL, NULL, NULL, NULL, 1);
INSERT INTO `rec_loan`.`sys_option`(`id`, `option_val`, `option_txt`, `option_ord`, `option_desc`, `select_id`, `create_user`, `create_org`, `create_time`, `create_date`, `update_user`, `update_org`, `update_time`, `update_date`, `cur_vers`) VALUES ('20606905913667756032', '05', '等额本息(按期收利息)', 5, '等额本息(按期收利息)', '20606904983606009856', '007001', '007', '2022-03-29 17:47:26', '2039-07-12', NULL, NULL, NULL, NULL, 1);