Hi there, whitcombautomotive.
Welcome to the QuickBooks Community. Please know that we aim to deliver customer satisfaction at all times and fix an issue as soon as possible. With this, may I ask for additional details if the lump sum deposit is from the bank feeds and if the two separate bank deposit appears on the Banking page? I also appreciate it if you can provide screenshots of your end and any further details so I can present an accurate solution.
For now, I'm adding this article to see various guidelines on how you can fix any reconciliation issues that you might encounter: Learn the reconcile workflow in QuickBooks.
Please don't hesitate to click the Reply button below and add further details about your concern. I'm always here to help.