RSU Sell-To-Cover - Single release statement vs 2 transactions in 1099-B

Hi

I got a single release statement for my sell-to-cover transaction, but two different entries in my 1099-B.

273 shares vested = 177 shares sold and 96 shares sell-to-cover (these are the 2 separate entries in my 1099-B).

How do I treat those two entries in the 1099-B with respect to this screen. Thanks

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