1.在sSysBillType当中增加一行 insert tSysbilltype(BillCode,BillName,BillGrp,IsRule,NoLength,IsPrefix,PrefixLen,PrefixNo,IsDate,DateFmt,SerialLen, YearNo,MonthNo,DayNo,MaxSerial,BillHeadTbl,IsOrgPrefix) values( '0204' , '融出资金序号' , '进口贸易' , '1' , 6 , '1' , 3 , 'FOut' , '1' , 'YYYYMMDD' , 4 , '2013' , '01' , '01' , 57 , 'Import_Finance_Out' , '0' ) 2.建立 tSys_表名 的表 /****** Object: Table [dbo].[tSys_Import_Finance_Out] Script Date: 11/13/2013 17:02:21 ******/ SET ANSI_NULLS ON GO SET QUOTED_IDENTIFIER ON GO SET ANSI_PADDING ON GO CREATE TABLE [dbo].[tSys_Import_Finance_Out]( [SerialNo] [numeric](27, 0) IDENTITY(1,1) NOT NULL, [Data_Null] [varchar](1) NULL ) ON [PRIMARY] GO SET ANSI_PADDING OFF GO